Investment strategies

Using the extensive expertise that we have developed for the SCOR Group in certain market segments with high entry barriers, we offer our external clients innovative and niche strategies with high added value. Our investment policy pursues two objectives :

  • give our clients access to unconventional beta asset classes, thanks to our technical expertise, the quality of our fundamental analysis and our ability to sponsor funds before they are marketed
  • focus on the recurrent returns of our products rather than on pure capital gains, as part of a medium to long-term investment horizon
 
Our range of asset classes include the following strategies : 

Private debt

Name ISIN code Value Date NAV AuM Performance YTD Benchmark
SCOR Sustainable Euro Loans
SCORLUX - SCOR European Senior Loans
SCORLUX - SCOR Global Loans

Insurance-linked Securities

Name ISIN code Value Date NAV AuM Performance YTD Benchmark
SCOR ILS FUND - Atropos
SCOR ILS FUND - Atropos Catbond Fund

High Yield

Name ISIN code Value Date NAV AuM Performance YTD Benchmark
SCOR Sustainable Euro High Yield FR0010853556 18/01/2022 2005.96 EUR 611 M -0.29% Bloomberg Euro High Yield 3% Issuer Constraint index ex Financial TR Unhedged
SCOR FUNDS - Europe High Yield LU1497740842 18/01/2022 1148.91 EUR 184 M -0.21% Bloomberg Pan Europe HY 2.5% Iss Constr x Fin TR Index Hedged EUR
SCOR FUNDS - Euro Short Term Duration High Yield LU1497739240 18/01/2022 1053.10 EUR 53 M 0.11% N/A

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