Most GIC funds come from CPF savings, not just Gov reserved. Partially explain why there is a huge public liability in the government account, ie GIC investing overseas on behalf of citizens. One of the side effects is very little capital flow in the local equity market, SGX is now behind KLSE.
According to the most recent search results, GIC currently manages approximately $880 billion in assets. The fund continues to focus on long-term global investments across various asset classes, including: • 13% Developed Market Equities • 17% Emerging Market Equities • 32% Nominal Bonds and Cash • 7% Inflation-Linked Bonds • 13% Real Estate • 18% Private Equity The fund achieved an annualized USD nominal rate of return of 5.8% over the 20-year period ending March 31, 2024, with a real rate of return of 3.9% when accounting for global inflation
According to the most recent search results, GIC currently manages approximately $880 billion in assets. The fund continues to focus on long-term global investments across various asset classes, including: • 13% Developed Market Equities • 17% Emerging Market Equities • 32% Nominal Bonds and Cash • 7% Inflation-Linked Bonds • 13% Real Estate • 18% Private Equity The fund achieved an annualized USD nominal rate of return of 5.8% over the 20-year period ending March 31, 2024, with a real rate of return of 3.9% when accounting for global inflation
國家富裕繁榮先進,人民生活水平高,種族和諧,人民團結,治安良好,環境舒適,需要精英政府治國。台灣是政客治國,台灣媒體和網紅爲了流量,都參與搞分裂鬥爭,搞得台灣沒安寧。在新加坡這種行爲是犯法的,但是台灣人把自由言論高於社會和諧,人民團結n政局穩定,經濟發展,民生等。很多網紅根本不事生產,也沒當過兵保家衛國,只是靠破壞國家和諧,潑夫駡街,分裂人民,搞批鬥來賺錢。
Most GIC funds come from CPF savings, not just Gov reserved. Partially explain why there is a huge public liability in the government account, ie GIC investing overseas on behalf of citizens. One of the side effects is very little capital flow in the local equity market, SGX is now behind KLSE.
👍🙏
According to the most recent search results, GIC currently manages approximately $880 billion in assets. The fund continues to focus on long-term global investments across various asset classes, including:
• 13% Developed Market Equities
• 17% Emerging Market Equities
• 32% Nominal Bonds and Cash
• 7% Inflation-Linked Bonds
• 13% Real Estate
• 18% Private Equity
The fund achieved an annualized USD nominal rate of return of 5.8% over the 20-year period ending March 31, 2024, with a real rate of return of 3.9% when accounting for global inflation
1MDB......is number 1
Aku uncle saya were greetings from the overseas peranakan Chinese merlion mighty 🙂🙏🐼 SO Peter 60 saya aku
GIC 有7,700亿美元的资产,你是在哪里得到这个信息的?
去年已经报道
@@doctorlater
👍👍👍
根据 GIC 官方网站,其管理的投资规模并未被报道过;他们只是报道了投资表现。7,700亿美元这个资产数字是一些美国出版物估算的数字,但这不是官方数据,我相信 GIC 从未证实过。如果您在任何 GIC 报告中看到它,请提供链接。
我翻看了制作内容时搜集的素材,视频中的投资表现数字来自于GIC报告,total AUM的数字来自Wikipedia和www.swfinstitute.org/profile/598cdaa50124e9fd2d05b242 。7700是截至2023.6月,目前的数字是8008。感谢提醒。
According to the most recent search results, GIC currently manages approximately $880 billion in assets. The fund continues to focus on long-term global investments across various asset classes, including:
• 13% Developed Market Equities
• 17% Emerging Market Equities
• 32% Nominal Bonds and Cash
• 7% Inflation-Linked Bonds
• 13% Real Estate
• 18% Private Equity
The fund achieved an annualized USD nominal rate of return of 5.8% over the 20-year period ending March 31, 2024, with a real rate of return of 3.9% when accounting for global inflation