Resolute Global Partners
The Artemis Insurance-Linked Securities Investment Managers & Funds Directory is a one-stop resource for information on insurance or reinsurance linked investment managers and their ILS fund strategies.
Resolute Global Partners - snapshot
- ILS manager or company name: Resolute Global Partners
- Location (HQ / Domicile): Hamilton, Bermuda
- Date of launch: Jul 2011
- Assets under management *: $325 million (as at December 31st 2025)
- Website link: Resolute Global Partners website
Resolute Global Partners - Details
Company profile:
Resolute Global Partners is an employee-owned investment manager specializing in short-tail property and casualty insurance and reinsurance. The portfolio is weighted toward non-property risks — including marine and energy, U.S. primary insurance, and specialty lines — with property catastrophe reinsurance representing less than 20% of current exposure.
The firm’s flagship vehicle, the 1609 Fund Ltd., accesses the market through three proprietary subsidiaries: Prospero Re (specialty and property reinsurance), Producers National Corporation (U.S. primary insurance), and RGP Corporate Member (Lloyd’s of London). This multi-platform structure gives the Fund direct access and expertise across market segments unavailable to most investment vehicles.
The firm’s underwriters and actuaries average 30 years of experience in Lloyd’s, Bermuda, and U.S. insurance markets, supported by a network of 300+ professionals.
Team size and structure:
12 investment professionals led by underwriters and actuaries, supported by 300+ professionals across operating platforms and strategic partnerships.
Number of strategies (how many funds, sidecars or strategies):
1 (1609 Fund Ltd.)
Offers private managed accounts?
Yes
Other offices or locations:
London, UK; Chicago, IL (PNC); Jacksonville, FL (PNC)
Strategy:
The 1609 Fund invests opportunistically across four sectors — specialty reinsurance, property reinsurance, U.S. primary insurance, and specialty insurance — rotating capital toward lines offering the most attractive risk-adjusted returns at any given time. The portfolio is constructed to generate consistent underwriting profit across market cycles while moderating extreme tail risk.
The Fund’s multi-platform structure enables participation in specialty lines largely inaccessible to traditional vehicles — including marine and energy, aviation, event cancellation, and U.S. insurance. This breadth of market participation provides early visibility into pricing dislocations across sectors and the flexibility to rotate capital toward them quickly. Sector allocation is driven by both market opportunity and underwriting judgement.
The result is a portfolio positioned to generate strong underwriting returns regardless of insurance and reinsurance cycles, with diversification characteristics distinct from both equity markets and property-catastrophe-focused ILS strategies.
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Disclaimer:
The Artemis Insurance-Linked Securities Investment Managers & Funds Directory is provided as-is. Best efforts are made to ensure the contents are accurate at the time of publication but there may be some omissions. Please contact Artemis should you require a change to your ILS manager listing.
*Note: Assets under management are prone to fluctuation so the figures here are either the best available or last submitted by included managers.
It is not always possible for us to track the ‘usable’ assets under management (AUM) of most ILS managers, so the figures above tend to include an element of trapped capital. Few ILS managers report AUM figures that exclude trapped capital, unless they have fronting or other arrangements in front of their ILS funds that allow them to do so more readily.
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