20 April 2023 Twelve Capital Insurance Bond Strategy – Q1 2023 Review “The Insurance sector has continued to show resilience from a fundamental perspective.” Q1 2023 has been ...
12 October 202212 October 2022 Twelve Capital Insurance Bond Strategy – Q3 2022 Review September 2022 has been a very volatile month for credit investors, with Investment Grade and ...
16 September 202216 September 2022 The importance of handpicking investments in the insurance space The insurance sector offers attractive returns as its complexity for generalist investors translates in a ...
14 July 2022 Twelve Capital Insurance Bond Strategy: H1 2022 Review The first half of 2022 will no doubt be remembered for severe fixed income volatility. Markets ...
23 May 2022 It is time for insurance debt Financial markets are experiencing increased headwind with the worsened geopolitical environment and prospects for longer-lasting ...
15 February 202215 February 2022 Insurance Bonds show Resilience Insurance Bonds have been one of the most resilient subsectors of credit markets throughout periods ...
4 February 20224 February 2022 Positive Outlook for Investments in the Insurance Sector in 2022 Twelve Capital believes the insurance sector will benefit from macroeconomic and idiosyncratic tailwinds in 2022. ...
9 July 20208 February 2021 Podcast Insurance Private Debt Vittorio Sangiorgio, Insurance Private Debt Strategy Lead at Twelve Capital, talks about the Insurance Private ...
30 June 20208 February 2021 Twelve Capital in Absolut Report: Nachranganleihen von Versicherungen https://www.absolut-research.de/publikationen/absolutreport/ausgaben/detail/ae/Issue/show/absolutreport-32020/ Tuesday, 30 June 2020
27 May 202019 August 2020 Twelve Capital Update: Insurance Bonds – Higher yielding (not high yield) income opportunity Against the backdrop of equity dividend cuts and a low yield environment Twelve sees Insurance ...