22 Oct 2012
Twelve years on from its inception and after a post-crisis rejuvenation, credit-based specialist Cheyne Capital is seeing growth across all five of its key investment areas
22 Oct 2012
Ex-TCI manager Stuart Powers and his partners have made very sure-footed progress in an extremely testing climate with their value-driven and Europe-centric global long/short equity fund
22 Oct 2012
The London-based asset manager founded by former Calyon global credit markets head Loïc Fery has built a striking five-year track record in credit investing, establishing a broad suite of defined but interrelated strategies that investors can gain exposure to in a variety of different ways
22 Oct 2012
Oslo-based macro asset management firm puts the former heads of investment management at the world’s largest sovereign wealth fund in partnership with Julian Robertson’s legendary Tiger Management. Pirkko Juntunen reports
22 Oct 2012
After staging a spectacular recovery following a difficult 2008, Steve Roth’s GLG Market Neutral Fund has adapted to changing markets and is on course to outperform again in 2012 by focusing more on credit and less on converts