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Investor Presentaiton

Superior Total Value Creation Proven track record of higher, more consistent returns with lower volatility Return on Tangible Equity and Sharpe Ratio 12/31/2002-12/31/2021 Higher Volatility, Higher Returns Lower Volatility, Higher Returns PGR IFC-CA UVE AMSF KNSL TRV ALL◆ CB AIZ AFG PLMR HIG RLI RE ACGL IGIC SIGI WRB SAFT LRE-LON THG RNR ORI MCY MKL HMN CNA BRK.B CINF KMPR◆ JRVRSPNT EIG PRA AIG AXS FFH-CA◆ DGICA ARGO UFCS WTM ◆ UIHC Higher Volatility, Lower Returns Lower Volatility, Lower Returns Source: Dowling Research. Note: The chart represents 10-year average ROTE and Sharpe ratio (or shorter period for companies where 10 years is not available). Sharpe ratio is estimated as the difference between 10 Year average ROTE and 10 Year Mean U.S. Treasury, divided by the Company's ROTE Standard Deviation. International General Insurance Holdings Ltd. 5
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