How to build a resilient investment portfolio in uncertain times
Navigating a profoundly uncertain investment landscape takes price discipline, granular diversification and leveraging long-term, flexible capital.
GIC is a leading global investment firm established in 1981 to secure Singapore’s financial future. As the manager of Singapore’s foreign reserves, it takes a long-term approach to investing and is uniquely positioned on a wide range of asset classes and active strategies globally. These include equities, fixed income, real estate, private equity, venture capital and infrastructure. GIS has a long-term approach, multi-asset capabilities and global connectivity. Headquartered in Singapore, GIC has a global talent force of over 2,100 people in 11 key financial cities and investments in over 40 countries.
Navigating a profoundly uncertain investment landscape takes price discipline, granular diversification and leveraging long-term, flexible capital.
GIC has developed a framework to determine the incremental investment value expected from decarbonization revenues.
Climate scenario analysis can help investors identify the impact of climate change and determine the right strategy to increase their portfolio resilience.