AUM
(as at 13/02/25)Team Members
Expertise Since
Global Offices
Founded from the merger of Twelve Capital and Securis Investment Partners, Twelve Securis is an independent leader in insurance-related investments, specialising in Cat Bonds and Private ILS. Our expertise extends to Insurance Debt and Multi Asset portfolios. With a history tracing back to 2005, we manage around USD 8.5 billion in assets and maintain a global presence essential for client service, deal sourcing, and understanding market trends.
About Twelve SecurisAt more than USD 8.5bn in AUM, Twelve Securis is one of the largest insurance/ILS investment managers.
Strong access to investment opportunities and in-depth understanding of markets trends.
Improved negotiation ability with potential for improved economic terms for investors.
Combination of two highly complementary businesses creating a scalable set-up in a consolidating space.
Insurance is part of our DNA, underpinned by sharp single-sector focus and enhanced market insights.
Varied spectrum of investment products depending on investors’ risk/return appetite and liquidity preferences.
Broad offering enables optimisation of positions and portfolios depending on the point in the (re)insurance cycle.
Proprietary sophisticated view of catastrophe risk, leveraging the latest scientific research.
Integrated view of climate research and active incorporation of climate change impacts.
Seasonal forecasting to refine portfolio positioning.
Licensed as “Manager of collective assets” by the Swiss Financial Market Supervisory Authority FINMA
Dufourstrasse 101
8008 Zurich
Switzerland
Email: info@twelvesecuris.com
Phone: +41 (0)44 5000 120
Twelve Capital (DE) GmbH (Munich, Germany)
Securis Investment Partners LLP (London, UK)
Securis ILS Management Ltd (Hamilton, Bermuda)
Securis Investments (Japan) Limited (Tokyo, Japan)
Securis Investments (USA) LLC (Presence Only)
The Private Insurance-Linked Securities (ILS) strategy provides access to tailored, private (re)insurance transactions that are unavailable in public markets. These cover diverse (re)insurance risks, often offering higher yields than Cat Bonds due to their bespoke structures and associated illiquidity premiums.
A traditional Fixed Income offering focused exclusively on debt issued by insurance companies. Our actively managed Insurance Bond strategy capitalises on liquid, investment-grade opportunities across global markets with a focus on Europe.
The Insurance Private Debt strategy addresses the growing solvency capital needs of smaller insurers, primarily in Europe. In a sub-sector characterised by very high barriers to entry, Twelve Securis unparalleled sector focus and balance sheet approach allows for successfully source transactions and assess risks.
The Multi Asset approach incorporates a blend of Cat Bonds, Insurance Bonds, and listed Insurance Equity. The offering exists in UCITS format as well as in custom mandates looking to extract illiquidity premia by allowing for the addition of Insurance Private Debt and Private ILS.
Twelve Securis regularly publishes investment updates as well as thought leadership pieces related to the asset classes it manages.
Find Out MoreTwelve Capital and Securis Investment Partners have completed the final steps of the merger, establishing...
Read moreTwelve Securis can help you navigate the world of insurance investing.
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