Our fixed income strategies aim to provide capital preservation by enhancing liquidity, minimising volatility, and offering potential returns above traditional cash investments.
Our expertly curated funds have low volatility and relative successful performance over various market cycles.
Risks are spread out geographically and diversified among economic sectors and industries.
Helps to manage risk and reduce the volatility of market conditions to maximise returns.
The Fund aims to enhance income and provide a high level of liquidity by investing in a portfolio of high quality (weighted average credit rating of A-) debt instruments.
The Fund aims to provide total return of capital growth and income through an actively managed portfolio of Singapore and international bonds and high quality interest rate securities.
The Fund aims to manage liquidity and risk while providing a return that is comparable to that of SGD short-term deposits.