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GIC manages Singapore’s foreign reserves, with a mandate to preserve and enhance Singapore's international purchasing power over the long term.
GIC Private Limited is a Singaporean sovereign wealth fund that manages the country's foreign reserves.
GIC is one of the three investment entities in Singapore that manage Singapore's reserves, alongside the Monetary Authority of Singapore (MAS) and Temasek. We manage most of the Government’s financial assets, investing for the long term with an aim to preserve and enhance the international purchasing power of the funds placed in our care.
3 days ago · Singapore will continue to find ways to improve the attractiveness of Singapore’s equity market, but it will not direct sovereign wealth fund GIC to invest in locally listed companies, says ...
A diversified, resilient portfolio to secure Singapore's financial future. On this page. GIC Report 2022/23. GIC publishes an annual report on the management of the government’s portfolio and information on our policies and people. Learn more. Past GIC Reports. View all. GIC Report 2021/22. Download PDF. GIC Report 2020/21. Download PDF.
Jun 6, 2022 · The Government of Singapore Investment Corporation (GIC) is a government-owned company assigned to manage Singapore's sovereign wealth fund. The fund is now officially named: GIC Private...
Jan 13, 2022 · SINGAPORE (BLOOMBERG) - Singapore's sovereign wealth fund GIC is poised to get a massive influx of new funds to manage after the city-state changed the way the central bank transfers excess...
Jul 26, 2023 · Singapore sovereign wealth fund GIC posted for the latest financial year its highest returns since 2015, but cautioned "challenging" prospects ahead amid sticky inflation and other economic...
Jan 12, 2022 · Singapore’s sovereign wealth fund GIC Pte. is poised to get a massive influx of new funds to manage after the city-state changed the way the central bank transfers excess foreign currency...
Jul 27, 2022 · Singapore sovereign wealth fund GIC says its diversified portfolio and cautious investment stance have helped to cushion its performance from the market correction that occurred in early 2022.