A unique capital markets advantage.
Our management team’s considerable experience enables Flagstone to use capital alternatives to both manage risk and optimize our asset portfolio and our risk portfolio.
Optimized portfolio management makes Flagstone a stable and reliable partner.
By leveraging our capital markets expertise, Flagstone successfully uses alternatives such as insurance-linked securities, sidecars and cat bonds to manage and leverage risk. These instruments offer transparency and superior credit, and enable us to manage the cycle deftly, providing capital when opportunities arise without the permanence of common equity.