Why invest in us
1. Proactive cycle management |
We are committed to active portfolio management to optimise returns through the market cycle. |
2. A balanced underwriting approach |
We are committed to creating a robust and diversified portfolio across the breadth of property, casualty and specialty classes. |
3. Strong balance sheet |
We have a strong capital base to support our business and maintain our AM best A- (Excellent) rating, giving us the ability to deploy meaningful capital as opportunities present. |
4. A focused growth business |
Since our launch in 2020, we have focused on building out the foundations for success. Those foundations are now in place, providing a platform for significant scalability. |
5. Multi-skilled team |
Our team is drawn from a wide range of industry skill-sets blended into our open culture, where knowledge transfer is highly valued. |
6. Shareholder return |
We are well positioned to deliver attractive capital gains over time. We have also paid out a dividend since inception and we are committed to maintaining a regular dividend pay-out. |
7. Low-risk investment strategy |
We maintain a conservative investment portfolio with high average credit quality, strong liquidity and low duration, to protect capital while generating an income stream. |
8. Integrated ESG approach |
ESG principles are embedded into our underwriting and investment guidelines and into our operational activities. |