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Twelve Capital positive on re/insurance sector investing for 2022

Investment manager Twelve Capital has explained that it believes the insurance and reinsurance sector has positive attributes as an investment asset class for 2022, with both macroeconomic and idiosyncratic tailwinds expected to drive returns this year.

Twelve Capital is a Zurich-headquartered catastrophe bond, insurance-linked securities (ILS) and reinsurance linked investment fund manager, with strategies both in the ILS sector, as well as in insurance related fixed income or debt, insurance equities and insurtech as well.

With this holistic view across the various investment access points of the insurance and reinsurance market, Twelve Capital’s insights suggest a year where there could be positive fundamentals for all of these areas of insurance-linked returns.


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