Download - Peer analysis presentation
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Peer Analysis Perspectives As of 12/31/2012
March 20th, 2013
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Peer Analysis Overview
SAA P&C & Health Client Portfolios
23 Clients (20 Primary / 3 Reinsurers)
28 Portfolios
$10.4B In Assets
$9.2B Core Fixed Income
$1.2B Risk Assets
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RISK ASSET ALLOCATION
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Risk Asset Allocation Review
Typical Risk Assets
1. U.S. Equities
2. International Equities
3. High Yield Fixed Income
Other Risk Assets
1. Convertible Bonds
2. Emerging Market Debt
3. REITs
4. Gold & Commodities
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AS % OF TOTAL PORTFOLIO
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Risk Asset Allocation - % of Portfolio
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Max 35.11%
Median 10.07%
Average 11.76%
Reinsuer
Health
P&C
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Risk Asset Allocation - % of Portfolio, By Portfolio Size
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Max 35.11%
Median 10.07%
Average 11.76%
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Risk Asset Composition
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AS % OF SURPLUS
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Risk Asset Allocation - % of Surplus
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Max 67.6%
Median 17.9%
Average 22.4%
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Risk Asset Allocation - % of Surplus, By Portfolio Size
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Max 67.6%
Median 17.9%
Average 22.4%
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Risk Asset Allocation
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U.S. Equity % Intl. Equity % HY % Other %
Max 100.0% 31.6% 62.6% 74.4%
Median 68.4% 12.5% 0.0% 0.0%
Average 60.6% 12.7% 10.2% 4.4%
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CORE FIXED INCOME ALLOCATION REVIEW
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Fixed Income Portfolio Duration & Portfolio Size
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Duration (Yrs)
Max 5.88
Median 3.81
Average 4.00
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Fixed Income Portfolio Book Yield & Portfolio Size
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Book Yield (%)
Max 4.49
Median 3.01
Average 2.98
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Fixed Income Portfolio Book Yield & Duration
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Duration (Yrs) Book Yield (%)
Max 5.88 4.49
Median 3.81 3.01
Average 4.00 2.98
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Risk Asset Allocation By Fixed Income Portfolio Duration
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Duration (Yrs) RA % of Surplus
Max 5.88 67.6%
Median 3.81 17.9%
Average 4.00 22.4%
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PERFORMANCE REVIEW
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Fixed Income Performance – 2012
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Fixed Income Performance – 3 Years Ending 12/31/2012
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Risk Assets Performance – 3 Years Ending 12/31/2012
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Risk Assets Performance – 2012
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Total Portfolio Performance - 3 Years Ending 12/31/2012
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Total Portfolio Performance - 2012
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Fixed Income Investment Management Fees
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The Quest for Prudent Yield
Increase Non-Treasury Allocation
Duration Extension
Emerging Market Debt
High Yield Corporates/Bank Loans
REITs
High Dividend Equity
Inverse ETFs & Hedging Thoughts
Risk Asset Allocation to Surplus Ratio
Active vs. Passive Management of Risk Assets
Global Portfolio Positioning
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InsurerCIO.com
Purpose Curate the Latest Investment News & Resources
Relevant to Insurers
Customize the News You Receive
Compile your own Charts & Utilize our
Peer Analysis Database
Timeline Site Development Began: July 2011
Beta Test: May – August 2012
Soft Open: September 2012
Official Launch: November 14, 2012
Week of February 17: Hit 1,000 Unique, Weekly Visitors
User Trend: # of Unique Visitors Doubles Every 6 Weeks
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DISCUSSION & QUESTIONS
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