Our Approach

Coriolis' approach is not primarily focused on increasing AUM as is so commonly seen in the ILS world today but instead on targeting a steady risk/return outcome.

With a focus on risk control we are able to minimise tail risk and frequency of losses, avoid cash flow underwriting and thus provide a robust and stable investment return to our investors - in other words "winning by not losing".

As we share a strong alignment of interests with our investors (our directors, marketers and management are invested in the funds) we seek a long-term partnership with our investors to achieve attractive returns.

We provide transparency, do not use side pockets, send daily estimates and monthly valuations (including a full risk analysis of the invested portfolio).