Investor Presentaiton
Conservative Investment Strategy
Investment portfolio managed conservatively to ensure on-going ability to pay claims
and improve ROE while avoiding undue risk
Asset Allocation
Total Investment Portfolio
Total Investment Portfolio of $905.8 Million
6/30/2022
Credit Quality
Fixed Maturity Portfolio
Geographic Diversification
Fixed Maturity Portfolio
Equity Real Estate Cash & Cash
Securities
4.7%
2.4%
Equivalents
16.5%
Fixed Income
Securities
52.2%
Term
Deposits
24.2%
Non-Investment
AAA
Grade/Unrated
1.0%
AA
1.5%
9.3%
BBB
28.9%
A
59.3%
Average Credit Quality: A-
Average Duration: 3.5 Years
International General Insurance Holdings Ltd.
Middle East
40%
Worldwide
1%
North America
20%
Australasia
20%
UK
7%
Europe
12%
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