Twelve Capital - Cat Bond (German)

16. März 2022 | 11:00 Uhr
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The Cat Bond strategy, managed by Twelve Capital in cooperation with J. Safra Sarasin Sustainable Asset Management, invests in catastrophe bonds, or CAT bonds. Returns in this asset class are not correlated with the economic cycle or the capital markets, and therefore CAT bonds offer great diversification benefits. The strategy has delivered an annualised return since inception of 5.33% p.a. (I USD share class as of 28.02.2022), and offers an attractive current yield of 5.65%. Lastly, CAT bonds have inherent ESG characteristics.


Florian SteigerTwelve Capital AG (für J. Safra Sarasin (Deutschland) GmbH)