Investor Presentaiton slide image

Investor Presentaiton

Consistent Investment Management Philosophy Target higher and sustainable risk- adjusted returns by capturing illiquidity premia to drive consistent yield outperformance Focus on downside protection given long- dated liability profile and low cost of funding Dynamic asset allocation to take advantage of market dislocations Differentiation driven by proprietary asset origination and greater asset expertise ATHENE 30 - 40 bps Targeted Incremental Yield Without Incremental Credit Risk 15
View entire presentation