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Investment Philosophy
OIL’s primary goal for investment assets is to provide sufficient liquidity to meet our future financial obligations.
Our asset allocation reflects the company’s risk tolerance which differs from typical commercial insurers due to OIL’s unique mutual mechanism and strong capitalization.
OIL seeks to preserve and enhance the value of investments assets over a full market cycle under the guidance of a separate and experienced investment board.
Financial Statements
Ratings
Oil Insurance Ltd. Upgraded to a ‘A’ from ‘A-‘ On Stronger Financial Risk Profile; Outlook Stable
- S&P Global Ratings- Full Analysis on Oil Insurance Limited – October 2018
OIL is rated “A2” by Moody’s
- Moody’s Credit Opinion – June 2017
Annual Reports
Quarterly Reports
2018
2017
2016
Earlier reports are available up request. Please email [email protected] to request a PDF copy.