About us

Chenavari Investment Managers is a specialist asset manager focusing on all aspects of credit and structured finance, with a focus on European & Asian markets. Our mission statement is to deliver recurring stable investment performance; through active investment management focused on maximizing total returns while minimizing investment volatility. Chenavari’s investment model is focused on niche credit market strategies across Credit (Corporate and High yield, Financials, Credit Derivatives), Structured Finance (ABS, CMBS, Regulatory Capital) and Illiquid Credit Opportunities (Private Debt, Real Estate, Consumer Finance). Our approach relies upon the close interaction of “specialty” investment management teams across the full spectrum of credit markets to identify idiosyncratic investment ideas. This integrated approach complimented by a state of the art risk management and trading platform allows for the real time monitoring of all dimensions of credit risk. Thanks to its extensive origination capabilities in credit & structured finance markets, Chenavari is well positioned to participate in investment opportunities arising from bank deleveraging in Europe. Chenavari is authorized and regulated by several regulators globally, including the Luxembourg CSSF, UK FCA, the US SEC.

Why work for us

Our industry relies on selecting and nurturing "top percentile" people.

As such we care as much about People as we do about Investing.

We believe that great teams rely on healthy tensions: the tension between independence of thoughts and team spirit, between permanent challenge and adhesion, between ambition and humility. This is only possible in an environment of trust, where the rules of the game are clear to all - and the same for everyone.

Our key principles rely on sharing knowledge and information throughout our Firm in the most open and transparent fashion, and constantly challenging our approach and analysis.

We highly value sound judgment, integrity, and self-awareness.