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.