
With teams in Singapore, London and New York, the group provides a full spectrum of services for the Total Portfolio. These include trading, funding and liquidity management, securities lending, portfolio rebalancing, applied quantitative research, and counterparty relationship management. The team also delivers systematic portfolio solutions and innovation, such as portfolio construction techniques and tail-risk management, to strengthen total portfolio construction and resilience.
Working closely with other investment teams, PESG provides tailored execution solutions and advisory, leveraging market insights, advanced data analytics and technology to ensure investment ideas are implemented with precision to achieve optimal portfolio outcomes.
Through its integrated approach, PESG ensures GIC’s Total Portfolio is managed seamlessly and dynamically to support long-term capital allocation, risk management, and investment resiliency, all while keeping GIC agile and well positioned to capture opportunities across market cycles.
What You’ll Do
Global Trading Unit
Applied Research Unit
Balance Sheet Management Group
that all trades and portfolios are funded and hedged efficiently. Embracing a centralised approach in managing GIC’s liquidity, we generate value by capitalising on funding market opportunities, and extracting maximum value from GIC’s balance sheet.
Total Portfolio Alternative Strategies
Beta & Asset Rebalancing
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.
In the News
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