A Strategy Refined over 10 Years to Produce Non-Correlated Returns

 
 

Laureola’s strategy is meticulously crafted by industry veterans.

We maximize the unique investment opportunities available in Life Settlements to generate cash returns in the portfolio.

We ensure the broad sourcing of policies through multiple channels.

Our investment strategies are developed to capture the relatively stable, non-correlated returns available from investing in mortality. Our strategy is to add alpha through security selection, in addition to taking advantage of life settlement market beta.

Our success is driven by our commitment to quality at all stages of the investment process.

 
 

Being a boutique Manager, Laureola’s investment thesis and conservative approach help address the challenges of capacity constraints and the less liquid nature of this asset class.

 

OUR APPROACH

Conservative

Based on mortality & realized gains. Not accounting & valuation gains.

The time horizon appropriate for the asset class

 

OUR SUCCESS

Generate strong cashflow for the portfolio

Back-office expertise in policy administration and the tracking of insureds

Multiple sourcing channels