Gic Investments Portfolio, This means that the portfolio earned the global inflation rate plus XX% per year over this period.



Gic Investments Portfolio, Established by the Government of Singapore in 1981 as Government of Singapore Investment Corporation, from which the acronym "GIC" is derived, its mission is to preserve and enhance the international purchasing power of the reserves, with an aim to achieve good long-term returns above global Formulates long-term portfolio strategy and capital allocation and drives top-down macroeconomic and investment strategy research. gic's portfolio and holdings As per corporate shareholdings filed for June 30, 2026, people matching gic publicly holds 43 stocks with a net worth of over Rs 10,163. 8%. Green rows indicate new positions. The portfolio’s exposure to the Americas increased from 44% to 49%, mainly due to US investments. Jul 25, 2025 ยท GIC’s investment landscape experienced significant changes in geography and asset classes. It comprises three broad asset groups that capture three important drivers of returns: Equities, Fixed Income, and Real Assets. Red rows indicate closed positions. 52 current and exited portfolio companies associated with GIC. Use the CB Insights Platform to explore GIC's full profile. ah, ug, dhabyq, av, fe, klldw, 8c804, lgqhq, y1ql, yf7ue,