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Our Temasek Review, Temasek Bonds and Credit Profile are public markers that anchor our commitment as a robust and disciplined institution. Our Credit Profile provides a snapshot of our credit quality and the strength of Temasek’s financial position.
- Portfolio Performance
Temasek’s portfolio is made up of listed and unlisted...
- Investor Library
Get key information on our annual review documents, credit...
- Group Financials
In accordance with the well-established International...
- Euro-Commercial Paper
On 16 February 2011, Temasek Financial (II) Private Limited...
- Investor Presentation
Investor Presentation - Our Financials - Temasek
- Temasek Review 2022 Highlights
Temasek Review 2022 Highlights. We are driven to realise the...
- Temasek Review 2021 Highlights
Temasek Review 2021 Highlights. A year on, the despair and...
- Temasek Review
Temasek Review - Our Financials - Temasek
- Portfolio Performance
Get key information on our annual review documents, credit rating reports, investor factsheet and presentation.
In accordance with the well-established International Financial Reporting Standards, the Group Financials for Temasek are a consolidation of financial information of Temasek and its operating subsidiaries, such as PSA, Singapore Airlines, Singtel, ST Engineering, etc.
Jul 14, 2023 · Temasek published its annual Temasek Review on 11 July 2023. For the 2023 Temasek Review, please visit www.temasekreview.com.sg. For the 2022 Temasek Review, please visit https://tr22.temasekreview.com.sg/.
Temasek Review 2022 Highlights. We are driven to realise the promise of tomorrow; Like our early leaders, who charted our growth in Singapore and beyond. Even as our world rapidly changes, we remain anchored to our three roles as an Active Investor, Forward Looking Institution, and Trusted Steward To do well, do right, do good.
Jul 13, 2021 · Temasek today published its annual Temasek Review. For the latest Temasek Review, please visit www.temasekreview.com.sg.
Mar 31, 2023 · Temasek’s portfolio is made up of listed and unlisted investments, other assets and liabilities. We derive our portfolio value 1 based on share prices 2 as at our financial year end every 31 March for listed investments and book values 3 for unlisted investments.