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Third Point Investors Ltd — Investor Relations & Filings

Ticker · TPOU ISIN · GG00B1YQ7219 LEI · 549300WXTCG65AQ7V644 IL Financial and insurance activities
Filings indexed 1,941 across all filing types
Latest filing 2025-06-27 Net Asset Value
Country KY Cayman Islands
Listing IL TPOU

About Third Point Investors Ltd

https://www.thirdpointlimited.com/

Third Point Investors Ltd. is a closed-ended investment company that operates as a reinsurance platform. The company provides tailored reinsurance solutions to insurers, with a focus on the retirement industry. A key aspect of its strategy is leveraging the expertise of its investment manager, Third Point LLC. This involves utilizing Third Point's multi-asset credit experience and sophisticated risk management capabilities to construct high-quality investment portfolios that back the liabilities of its insurance partners (cedants). The firm aims to establish long-term, scalable partnerships within the insurance sector.

Recent filings

Filing Released Lang Actions
Third Point Investors Ltd - Weekly Estimate Net Asset Value - June 2025
Net Asset Value Classification · 99% confidence The document explicitly states it is a 'Weekly Estimate Net Asset Value' publication for 'Third Point Investors Limited' as of '25th June 2025'. It provides a table detailing the NAV per share class, along with Month-to-Date (MTD) and Year-to-Date (YTD) performance figures. This content directly matches the definition for Net Asset Value updates, which is categorized as 'NAV'. The document length is short (2578 chars), but its primary purpose is to convey the calculated NAV figure, not just announce that a report is available.
2025-06-27 English
Third Point Investors Ltd - Weekly Estimate Net Asset Value - June 2025
Net Asset Value Classification · 100% confidence The document is a weekly announcement from Third Point Investors Ltd providing an estimated Net Asset Value (NAV) for its shares as of June 17, 2025. The content explicitly states it is a 'Weekly Estimate Net Asset Value' report, which is a standard periodic disclosure for investment funds. This fits the definition of the NAV category perfectly.
2025-06-20 English
Third Point Investors Ltd - Weekly Estimate Net Asset Value - June 2025
Net Asset Value Classification · 100% confidence The document is a weekly update providing the estimated Net Asset Value (NAV) for Third Point Investors Ltd. It explicitly states 'Publication of Weekly Estimate Net Asset Value' and provides a table with NAV figures, performance metrics, and SEDOL codes. This fits the definition of a Net Asset Value (NAV) update for an investment fund.
2025-06-13 English
Third Point Investors Ltd - Weekly Estimate Net Asset Value - June 2025
Net Asset Value Classification · 100% confidence The document is a short announcement from Third Point Investors Ltd providing a weekly estimate of its Net Asset Value (NAV) as of June 4, 2025. The content explicitly states 'Publication of Weekly Estimate Net Asset Value' and provides a table with NAV figures and performance metrics. This fits the definition of a Net Asset Value (NAV) update for an investment fund.
2025-06-06 English
Third Point Investors Ltd - Monthly Update: May 2025 NAV Performance
Net Asset Value Classification · 100% confidence The document is a monthly performance update for Third Point Investors Ltd, specifically detailing the Net Asset Value (NAV) performance for May 2025. It includes performance highlights, portfolio breakdowns, and key statistics. Since this is a recurring monthly update for an investment fund focusing on NAV and portfolio performance, it falls under the 'Net Asset Value' category.
2025-06-05 English
Third Point Investors Ltd - Monthly Estimate Net Asset Value - May 2025
Net Asset Value Classification · 100% confidence The document is a short announcement from Third Point Investors Ltd providing the estimated Net Asset Value (NAV) for its shares as of May 31, 2025. It contains specific NAV figures, performance metrics, and a disclaimer regarding the indicative nature of the estimate. This fits the definition of a Net Asset Value (NAV) update for an investment fund.
2025-06-03 English

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