Cheyne Capital Management (UK) LLP
Reference number: 456864
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Authorised by the FCA
This firm is on the FCA register and authorised to carry out regulated activities.
Identity
Check their details
Compare these against whatever you were given. Scammers clone real firm names and reference numbers but use their own phone number and website, so a detail that does not match the register is the clearest warning sign there is.
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Verified website
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Verified phone number
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Verified address
Stornoway House, 13 Cleveland Row, London, SW1A 1DH, United Kingdom
Company details
From the company's Companies House record.
- Company number
- OC321484
- Company status
- Active
- Company type
- Limited liability partnership
- Incorporated
- 8 August 2006 (20 years old)
- Registered office
- Matches the FCA register address ✓
Current directors and secretaries
| Name | Role | Born | Appointed |
|---|---|---|---|
| Jonathan Harry Lourie | LLP designated member | Feb 1962 | 30 Mar 2007 |
| Stuart Chapin Fiertz | LLP designated member | Nov 1962 | 30 Mar 2007 |
| Trudi Maria Labeyrie | LLP member | Dec 1968 | 29 Jun 2007 |
| Nicole Anna Von Westenholz | LLP member | Oct 1976 | 29 Jun 2007 |
| Sandra Christine Wittmann | LLP designated member | Aug 1971 | 17 Mar 2008 |
| Ravi Stickney | LLP member | Aug 1974 | 7 Jul 2008 |
| Thomas Henry Wiggin | LLP member | Feb 1969 | 16 Nov 2009 |
| Mark John Fitton | LLP member | Nov 1968 | 18 Dec 2009 |
| Peter Charles Head | LLP member | Oct 1970 | 2 Aug 2010 |
| Sheel Bhatiani | LLP member | Jan 1980 | 24 Dec 2010 |
| Gerard Bromley | LLP member | Oct 1975 | 3 Jan 2012 |
| Ian Stewart Anderson | LLP member | Aug 1962 | 3 Jan 2012 |
| Sean Russell Macdonald | LLP designated member | Apr 1982 | 21 Jan 2013 |
| Richard Samuel Woolf | LLP member | Dec 1969 | 14 Feb 2013 |
| Fabian Linus Vieth | LLP member | Mar 1974 | 7 Feb 2020 |
| Rebecca Lawley | LLP member | Sep 1980 | 1 May 2022 |
| Donna Phlora | LLP designated member | Jul 1977 | 1 May 2022 |
| David Alexander D'Netto | LLP designated member | Oct 1983 | 22 Sep 2025 |
| CHEYNE CAPITAL MANAGEMENT LIMITED | Corporate LLP designated member | Not published | 8 Aug 2006 |
Activities and protection
What they can do, and how you are protected
- Hold or safeguard your money · Manage or trade investments · Run or oversee funds FSCS may applyEligible investment and pension claims are typically FSCS-protected up to £85,000 per person, depending on the product and your circumstances.
- Give regulated advice FSCS may applyA claim for unsuitable advice is itself FSCS-protected, up to the limit that applies to the product you were advised on.
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- Advising on investments (except on Pension Transfers and Pension Opt Outs)
- Advising on P2P agreements
- Arranging (bringing about) deals in investments
- Arranging safeguarding and administration of assets
- Dealing in investments as agent
- Making arrangements with a view to transactions in investments
- Managing an unauthorised AIF
- Managing investments
Limits on what they may do
- This firm may handle your money in passing but must not hold it, so payments should go to the product provider, never to a personal account.
One supervisory condition set by the FCA
These are conditions the FCA places on the firm itself, covering things like capital it must hold and what it must report. They do not change what the firm may do for you.
- CPMI Requirement
The firm is only permitted to carry on the activities specified in FUND 1.4.3R (1) to (6) or any successor provision
Complaints: You can refer a complaint about this firm to the Financial Ombudsman Service for free, whichever activity it relates to.
Track record
FCA actions and complaints
No FCA disciplinary action, and no complaints recorded with the Ombudsman.
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