Cheyne Capital is an alternative investment manager located in London, United Kingdom, established in 2000. They deploy their investment strategies across the capital structure, ranging from senior debt to equity, primarily focusing on corporate entities and real estate. Their expertise lies in investment grade and crossover corporate credit on a global scale. They pride themselves on their flexible investment approach, cultivating an environment that adapts to evolving market conditions to offer a variety of investment solutions. Cheyne Capital's investment philosophy emphasizes the creation of value through fundamental analysis and active management. By maintaining a global perspective, they seek to identify and exploit inefficiencies across international credit markets. Central to their strategy is a comprehensive understanding of the risks associated with their investments, which enables them to deliver consistent results while prioritizing capital protection. This approach is underpinned by an intensive research process, stringent risk management framework, and deep sector expertise. Cheyne Capital's broad investment mandate allows them to capture opportunities in various sectors, including Mobile, which aligns with their commitment to innovative investment strategies. With a dynamic team of investment professionals, they leverage their network and in-depth market insights to construct portfolios that align with the firm's long-standing investment principles. Integrity, transparency, and alignment of interests with their clients remain at the core of Cheyne Capital's operations. Their commitment to these values reflects in their robust operational platform, which enables them to execute their investment thesis effectively. As a firm, they are dedicated to delivering superior risk-adjusted returns while providing the highest level of service to their investors.