
We generate sustainable, superior returns through active investments across global equity markets. Strategies include relative return strategies, absolute return strategies, and quantitative strategies.
Our investment professionals have a wide network of corporate, and industry contacts with diverse insights on companies in the investment universe. We invest globally and are organised along product groups specialising in various total return, and relative return strategies.
Our in-house research analysts and experienced portfolio managers conduct in-depth due diligence and research that enable us to identify undervalued stocks with the potential to generate good returns over the long-term. We also work closely with our private markets’ colleagues to uncover and explore any white space under-invested by both teams.
Our people come from different nationalities with varied career backgrounds, domain knowledge, and career experiences spanning from entry-level to thirty years. We share insights, build on each other’s work, and cross-pollinate investment ideas across teams. We perform at our best when we combine our domain expertise with a collaborative approach to our shared investment objective. We also work closely together, so that we learn from each other’s experience and perspectives.
What You’ll Do
Asia Strategy
Emerging Markets Strategy
Developed Markets Strategy
People
Our diverse and capable talent is committed to our purpose, values, and culture. They enable GIC to take bold and calculated risks in the fast-moving investment environment. Discover how GIC invests in your professional development and career.
Locations
Our global offices enable us to actively source for opportunities, and partner with the best across all asset classes.