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This research by GIC assesses the decarbonisation investment opportunity based on revenue and value, rather than financing gaps, to produce a holistic view of opportunities across different technologies, time periods, regions, and asset classes.
13 Dec, 2023 ∙ 2 Mins Read
With changing macro narratives and structural trends, as well as heightened geopolitical risks, GIC remains focused on the long-term with a diversified and resilient portfolio, write Prakash Kannan and Mark Tan in the OMFIF Global Pensions Report 2023.
01 Dec, 2023 ∙ 2 Mins Read
Against the backdrop of multiple global crises, GIC CEO Lim Chow Kiat discusses the importance of global citizenship, and the role investors play in shaping a better world.
28 Nov, 2023 ∙ 3 Mins Read
Investment Strategies Macro Outlook
GIC CEO Lim Chow Kiat discusses the importance of learning from past lessons, clarity over long-term goals and and the adoption of robust processes to navigate long-term investing across generations.
27 Nov, 2023 ∙ 3 Mins Read
Despite continued global uncertainties, GIC CEO Lim Chow Kiat outlines the opportunities that can still be found in financial volatility, the climate crisis, technological disruption, and broader global fragmentation.
21 Nov, 2023 ∙ 3 Mins Read
This joint paper by GIC and Planetrics, part of McKinsey Sustainability, introduces a bottom-up approach to climate scenario analysis which can help investors assess the impact of transition risks on both individual investments and the overall portfolio.
24 Oct, 2023 ∙ 2 Mins Read
Alternative asset classes such as private debt have seen growing interest as they offer investors the potential to enhance risk-adjusted returns and increase resilience. This joint paper by GIC and StepStone provides an overview of the private debt landscape as well as a systematic framework for optimising private debt allocation in institutional portfolios.
26 Sep, 2023 ∙ 1 Min Read
GIC has invested in real estate since the 1980s, and in Japan since the 1990s. Today, we manage a diversified portfolio spanning major property sectors, including hospitality and logistics, and will continue to seek good, risk-adjusted returns in Japan’s real estate market.
29 Aug, 2023 ∙ 2 Mins Read
To ensure operational and portfolio resilience, GIC has put in place appropriate policies and control processes to enhance our preparedness for significant market shocks as well as the investment and non-investment risks that arise from these events.
10 Aug, 2023 ∙ 2 Mins Read
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