

Established in 1981, GIC manages Singapore’s foreign reserves with a mandate to preserve and enhance the country’s purchasing power over the long term. The fund invests globally across public and private markets—including equities, fixed income, real estate, infrastructure, and credit—using a multi-portfolio framework that combines strategic allocation with active management. GIC integrates sustainability into its investment process, recognizing environmental, social, and governance (ESG) factors as material drivers of long-term value and risk management. The fund engages companies on climate resilience, governance, and transparency, and aligns its portfolio with the transition to a low-carb...
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