About the firm

An independent investment manager, held to a regulated standard.

Cavenham Capital is authorised and regulated by the Financial Conduct Authority. We manage portfolios for institutions and private clients with a focus on discipline, transparency and long-term stewardship of capital.

Our history

Cavenham Capital was established to provide clients with an investment management service built around clear mandates, independent oversight and direct accountability. The firm operates under FCA authorisation and is subject to the conduct and prudential standards that status requires.

We work with a limited number of clients at any one time, by design. This allows the investment team to maintain a close understanding of each mandate, its constraints and its objectives, rather than managing to a single house model applied indiscriminately across clients.

Governance and oversight

Investment decisions are taken within a formal governance structure. Risk oversight is carried out independently of the portfolio management function, and client mandates are reviewed on a regular schedule against their stated objectives and guidelines.

Regulatory status

Cavenham Capital is authorised and regulated by the Financial Conduct Authority. Full details of our regulatory permissions, registered office and complaints procedure are set out on the Important Information page.

Leadership

Managing Partner

Investment strategy and client mandates

Oversees the firm's investment strategy and holds ultimate responsibility for client portfolios and regulatory compliance.

Head of Risk

Independent risk oversight

Responsible for portfolio risk monitoring, mandate compliance and reporting to the firm's governing committee.

Head of Client Relations

Client onboarding and reporting

Manages the client relationship from onboarding through ongoing reporting and mandate review.