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100% Insurance Linked Strategies
100% Insurance Linked Strategies
Independent & Investor Aligned
Independent & Investor Aligned
ESG embedded
ESG embedded

Investing in 100% insurance-linked strategies across the globe

Leadenhall Capital Partners is a global asset management company focused on investing in insurance-linked investment portfolios.

Through its non-life investment strategies, Leadenhall offers institutional investors access to pure re-insurance risk, which has exposure to property losses from extreme natural catastrophes and other non-life insurable risks.

Established in 2008, the company boasts a highly skilled team, with its managing partners possessing over 250 years of collective experience in insurance and capital markets.

Leadenhall formed a distribution partnership with Bennelong Funds Management in 2024.

Responsible Entity/Issuer Bennelong Funds Management Ltd
Investment Manager Bennelong Funds Management Ltd
Investment objective The Fund’s investment objective is to seek to deliver risk adjusted absolute returns by investing in a portfolio of insurance linked securities through the Leadenhall UCITS ILS Fund PLC (the ‘Master Fund’). The Master Fund in turn invests in insurance linked bonds (being catastrophe bonds) and other permitted insurance linked investments, being preferred shares, closed-ended fund shares and exchange based derivatives (together ‘ILS’).
Investment strategy The Fund intends to be fully invested into the Master Fund. At the Master Fund level, LCP will analyse the structural risks, the insurance linked risks, the underwriting risks and the market risks to which the particular ILS may be exposed. In its selection of the investments which are suited to meet the Master Fund’s investment objective, LCP will compare the outcome of its risk analysis with the expected return of the investment
Eligible investors Wholesale Clients as defined by the Australian Corporations Act or Wholesale Investors as defined by the Financial Markets Conduct Act 2013 (New Zealand)
Minimum suggested investment timeframe Five years
Fees and charges Contact Client Experience for more information
Inception date 4 April 2025
Minimum investment amount The minimum initial investment is $400,000
31 August 2025
Fund
1 Month 0.94%
3 Months 2.31%
6 Months -
FYTD 1.28%
1 year -
Since Inception a.r.* 2.53%

Performance figures are unhedged and are net of fees and expenses. 
Past fund performance is not indicative of future performance.
*Inception date is 4 April 2025. Since inception absolute return (a.r.) represents total investment returns calculated from the fund's inception date.

Distribution summary 30 June 2025
30 June 2025 distribution CPU (cents) N/A
CUM distribution exit price ($AUD) 1.0103
Ex distribution exit price ($AUD) N/A
Ex distribution NAV price used for reinvestment ($AUD) N/A
30 June 2025 Distribution Timetable
CUM prices available 9/07/2025
CPU distribution rate available 17/07/2025
Ex prices available 18/07/2025
Payment of cash distribution 22/07/2025
Distribution statements sent to unitholders 22/07/2025
Transaction statements sent to unitholders 23/07/2025
Tax statements sent to unitholders 28/07/2025
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