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Kuvare US Holdings
Kuvare US Holdings was established as an insurance holding and asset management platform, with offices in Menlo Park, California and Baltimore, Maryland.
Kuvare US Holdings
Kuvare US Holdings was established as an insurance holding and asset management platform, with offices in Menlo Park, California and Baltimore, Maryland. The firm manages a portfolio of insurance liabilities and corresponding assets, primarily through fixed-income securities and alternative investments. The firm's strategy combines traditional insurance asset management with opportunistic deployment in private credit, structured products, and alternative asset classes. Kuvare US Holdings focuses on yield optimization while maintaining liability-matching discipline for its insurance obligations. The firm targets sectors such as insurance-linked securities and corporate credit, with a geographic focus on North America. Kuvare US Holdings operates with a lean team structure, reflecting its focused mandate as an insurance-oriented manager. The firm's Baltimore office supports its insurance operations, while Menlo Park houses its asset management function. Adjacent activities include managing insurance subsidiaries and related capital structures. A key structural differentiator is Kuvare US Holdings' integration of insurance underwriting and asset management within a single platform, aligning liability duration with asset selection. This hybrid model allows the firm to capture spread income across both sides of the balance sheet, distinguishing it from purely external asset managers or standalone insurers.
General information
Firm type
Life and Annuity
Year founded
2015
Location
Region
North America
Country
United States
City
Menlo Park
Corporate office
Menlo Park, CA, United States
Additional offices
Baltimore, MD, United States
Sector focus
Frequently asked questions
What investment stages does Kuvare US Holdings typically target?
Kuvare US Holdings targets later-stage and structured investments in private credit, corporate bonds, and alternative asset classes. The firm's focus is on yield enhancement and risk management, not early-stage venture or growth equity.
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