At Cavalen Asset Management, we are dedicated to delivering exceptional returns through a high-conviction, actively managed approach to bond investing.
Our strategy is designed to preserve capital while unlocking long-term value and sustainable growth for our investors.
“A disciplined approach to fixed income—leveraging fundamental credit selection and tactical macro positioning.”
Our investment philosophy
Conviction
Our benchmark-unconstrained approach allows us to focus on high-conviction investments, capturing the most compelling opportunities across global bond markets.
Active
Dynamic management of global bonds, aiming to generate superior risk-adjusted returns across market cycles.
Value
A disciplined, value-oriented approach that seeks the most attractive, income-enhancing opportunities across a global universe.
Our story
Cavalen Asset Management was developed by Craig Veysey, a multi-award-winning bond fund manager with over two decades of experience in global bond investing.
“With a proven track record of managing award-winning bond strategies, Cavalen Asset Management was founded to provide institutional investors with a flexible, high-conviction approach to bond investing.”

Strategy and Insights
Stay ahead with expert perspectives on global bond markets, macro trends, and current investment thoughts
At Cavalen Asset Management, we apply a high-conviction, actively managed approach to fixed-income investing. Our insights explore market dynamics, credit selection strategies, and macro positioning to help institutional investors navigate evolving conditions.
Read our latest market commentary and research, designed exclusively for professional and institutional investors
Important Disclaimer
Cavalen Asset Management is currently not authorised or regulated by the Financial Conduct Authority (FCA).
This website is for informational purposes only and does not constitute an offer or solicitation to invest in any financial instrument. The content provided is directed at professional and institutional investors only and is not intended for retail investors.
Past performance is not indicative of future results. Any investment decisions should be made based on independent research and professional advice. If you are unsure about any aspect of our services, please seek independent financial advice.
Cavalen Asset Management is a trading name of Cavalen Ltd, a company registered in England and Wales (Company No: 16215049)