Asset manager specializing in uncorrelated returns

Cartesian Re is a specialized asset management firm that seeks to generate non-correlated returns for institutional investors.  By investing in short-term, cash-collateralized investment contracts tied to large-scale, low-probability natural disasters, Cartesian Re has provided investors with eight consecutive years of positive returns.  We formed Cartesian Re in 2009 and are directing its growth and investment practice.   

www.cartesianre.com