TruStage logo

TruStage

trustage.com

VCMatch tracks TruStage as an investor focused on United States, Wisconsin, and Iowa markets. Upload your deck to compare your startup against the full private matching profile.

Check Size

Not specified

Stages

Not specified

Focus Areas

Not specified

Geography

United States, Wisconsin, and Iowa

Investment Thesis

TruStage Investment Management’s investment philosophy is centered on the belief that incremental value can be added through both security and sector selection, coupled with rigorous internal credit approval and underwriting processes. The objective is to produce strong and consistent levels of risk-adjusted net investment income and competitive total returns through market cycles, while strictly controlling risk and protecting surplus. Their strategy focuses on preserving principal while providing income and competitive returns through interest rate and credit cycles.

Is TruStage right for your startup?

Upload your pitch deck to compare your startup against VCMatch's private investor profile, including fit, timing, and next-step signals.

Investment Focus

Who should take a closer look

TruStage is most relevant for founders raising venture-backed rounds in their stated focus areas, especially across United States, Wisconsin, and Iowa.

Focus statement

TruStage Investment Management invests premiums from insurance products and services to support the company's ability to pay policyholder claims and produce competitive returns. They manage over $29 billion in General Account assets under management across commercial mortgage loans, infrastructure debt, bonds, and other fixed-income securities.

Value Add

  • Well-diversified portfolio with disciplined investment philosophy
  • Experienced team with collective tenure of over 16 years and average 31 years of industry experience
  • Extensive expertise across various fixed-income sectors with long-standing relationships with dealers and sponsors
  • Continuous stream of investment opportunities management
  • Focus on risk-adjusted returns through market cycles with strict risk control