Investment strategy
Our investment strategy is highly distinctive in the life and pensions market, based on maximising risk-adjusted investment returns to add - and return - value to our policyholders
This is achieved by implementing a unique multi-strategy, investment philosophy - more in line with that used by leading global investors
There was simply nothing in our market that matched our expectations. So we created our own investment house - Axial
Bespoke systems enable daily analysis and modelling of both assets and risks across a whole range of market scenarios
And we adopt a best in breed approach to fund management - using the best wherever they may be. Many of our funds are currently with external managers
(We're already working on how we combine the talents of Axial and Resolution Asset Management to best effect our policy holders)
If you'd like an independent report, take a look at the latest paper by leading industry analysts, Cazalet Consulting