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Treasury & Investment Management

Access to the Treasury pages

Please note the Lloyd's Treasury and Investment management section is a restricted area of lloyds.com and is only available once you have a subscription and been granted access.

Once you have registered and validated your lloyds.com account please email treasuryanalysis@lloyds.com to request access.

What we do...

Investment Management

Lloyd’s Treasury & Investment Management provide specialist fixed income investment management services to the Lloyd’s market, on a discretionary basis to Managing Agents and as the manager of Lloyd’s centralised trust fund assets and the Central Fund.

Foreign Exchange

We offer a foreign exchange dealing service for managing agents and operate the Currency Conversion Service ‘CCS’ on behalf of the Lloyd’s market. 

Click here to find out more


Fund Factsheets

Factsheets

Lloyd's Treasury & Investment Management manage a number of commingled investment accounts, for use by syndicates at managing agents discretion. These accounts offer a low cost solution for smaller portfolios to access the economies of scale provided by a larger pool of funds. We charge a fee of 0.085% for the investment management of these funds.

Click to access factsheets for Commingled and Overseas Trust Funds

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Reports