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What smart money is saying about Tokio Marine Holdings, Inc.Japan flag

8766.T · Financial Services · Insurance - Property & Casualty · Market cap $6.36B

2 funds in our archive have pitched Tokio Marine Holdings, Inc. — most recently Hennessy Japan Fund in May 2026.

Company profile

Tokio Marine Holdings, Inc. engages in the non-life and life insurance, and financial and general businesses in Japan, the United States, and internationally. The company provides personal lines, accident and health, absence management, workers' compensation, retirement services, energy, renewables, property, natural catastrophes, aviation and space, commercial auto/motor, fine arts and specie, agriculture TNC, equestrian and blood stock, life sciences, financial lines, professional indemnity, surety, liability, professional liability, IP, political risk/violence and terrorism, trade/business interruption, product recall, cyber, crisis management insurance, contingency and events, stop loss, treaty reinsurance, business package, contractors all risks, trade credit, Japanese business, high net worth, urban and spatial development, and consulting solutions; marine, cargo, and hull; nonprofit, education, and human services; and sports entertainment, and leisure solutions. It also operates in various business areas comprising non-life insurance/PC, life insurance, reinsurance, asset management, risk management services, professional service, health and wellness, financial services, insurance related services, solution business for social issues. The company was formerly known as Millea Holdings, Inc. and changed its name to Tokio Marine Holdings, Inc. in 2008. Tokio Marine Holdings, Inc. was founded in 1879 and is headquartered in Chiyoda, Japan.

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Fund coverage · 2 theses

  • Tokio Marine Holdings benefits from a strategic Berkshire partnership, lower catastrophic risk, and the potential for attractive float-driven capital efficiency.

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  • Tokio Marine Holdings is a major non-life insurer whose Berkshire partnership is seen as enabling larger M&A, stronger competitive positioning, and potentially higher shareholder returns.

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