Economics & Investment Strategy
Our team articulates GIC’s strategic outlook, determines asset exposures and benchmarks, implements new return streams and investment models, and optimises the risk-reward of the GIC Portfolio.
Enterprise Strategy
Our team conducts GIC’s long-term strategic planning, integrating investment and organisation strategies, and coordinating their execution to achieve desired outcomes.
External Managers Department
Our team is GIC’s internal investment function where we also award investment directives to external fund managers whose ability complements our own capabilities.
Fixed Income & Multi Asset
Our team employs a broad range of investment strategies that span macro, credit, and quantitative investing, including multi asset, benchmark-agnostic, constrained, indexed, and thematic strategies.
Infrastructure
Our team invests in infrastructure assets with stable and predictable cash flows, long-term inflation protection and reasonable risk-adjusted returns.
Integrated Strategies Group
Our team enhances GIC’s alpha-generating capability by engaging new partners, exploring new investment themes and investing through innovative structures.
Internal Audit Department
Our team fosters a strong governance and control environment in GIC.
Investment Insights Group
Our team collaborates with GIC investment teams to harness data and analytics, including those derived from machine learning and artificial intelligence, to augment our investment decisions and processes.