Twelve Capital Insurance Bond Strategy – Q3 2022 Review

September 2022 has been a very volatile month for credit investors, with Investment Grade and High Yield funds down in excess of -8%. Clearly markets are dealing with a lot of issues, from the war in the Ukraine, high energy costs, recession, Hurricane Ian and central bank induced rates volatility.

We are happy to share our latest update on the Insurance Bond market with you.

Please click here to download your copy of the Twelve Capital update

Return on Insurance

Twelve Capital is an independent investment manager specialising in insurance investments for institutional clients as well as a leading provider of capital to the insurance and reinsurance industry.

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