Ress Capital hires a new Portfolio Manager

March 10, 2021 archive

We are pleased to announce that Markus Biamont has joined Ress Capital as a Junior Portfolio Manager. Since asset under management have now reached 245 million US dollars the portfolio management team is expanding. Markus will support the senior portfolio managers Anton and Fredrik in the policy sourcing and selection process.

Prior to joining Resscapital, Markus worked at Nordea Bank as an analyst where he developed and maintained quantitative models used for asset liability management. Markus holds a Master of Science degree in Industrial Engineering and Management from the Linköping Institute of Technology in Sweden where he specialized in computer science and finance.

About Resscapital

Resscapital AB is an alternative investment fund manager (AIFM) authorised and regulated by the Swedish Financial Services Authority (Finansinspektionen).

We have since 2011 bought a diversified life insurance portfolio on behalf of Ress Life Investments, which is listed at NASDAQ Copenhagen. Proprietary portfolio management systems and pricing models have been developed. The company also collaborates with independent medical underwriters specialising in senior mortality.

The management team has complimentary backgrounds and international experience from having worked at major banks, institutional investors and hedge funds. The board of directors consists of both successful entrepreneurs and senior managers with extensive experience from the financial industry.

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Attractive Long-Term Returns 

Ress Life Investments A/S purchases US life insurance policies in the secondary market. The company owns a diversified portfolio and policies are issued by over 50 highly rated US life insurance companies. The investment objective is to provide attractive uncorrelated returns in USD over the long-term. Ress Life Investments is listed at Nasdaq Copenhagen since 2015.

Attractive risk-adjusted return – the target return is 7% per annum in USD without any leverage.

Low volatility – a well-diversified life insurance portfolio offers investors stable and attractive risk-adjusted returns. Monthly historical volatility during the last five years is 4%.

Risk diversification – the return profile of the life insurance portfolio is characterised by low correlation to other asset classes, which makes the strategy attractive for investors seeking risk diversification.

Exchange-traded – the company is listed at NASDAQ Nordic and a market-maker provides daily prices.

Ress Life Investments A/S is a limited liability company incorporated in Denmark. The company is an alternative investment fund (AIF) managed by Resscapital AB, a limited liability company incorporated in Sweden. Resscapital AB is authorised as an alternative investment fund manager (AIFM) and supervised by Finansinspektionen, the Swedish Financial Supervisory Authority.

The depositary for Ress Life Investments A/S is Artha Fondsmaeglerselskab A/S. The administrator is Citco Denmark ApS, which is part of the Citco Group. The independent board consists of four members with extensive experience from the financial markets. Ress Life Investments A/S is audited annually by Deloitte.

Ress Life Investments A/S is admitted to trading and official listing on NASDAQ Copenhagen. The company’s short name is RLAINV, ISIN DK0060315604. Current share prices can be found under the segment – Alternative Investment Funds on  NasdaqOMXNordic.

Danish and Swedish retail investors and professional/accredited investors may also subscribe for shares on a monthly basis at the company’s current net asset value per share.