| Capital Markets Industry | Financials Sector | - CEO | SGX Exchange | SGXC73602341 ISIN |
| Singapore Country | - Employees | - Last Dividend | 30 Oct 2023 Last Split | - IPO Date |
Global Investments Limited is a notable entity in the financial sector, operating as an open-ended balanced mutual fund. This fund is launched and efficiently managed by Singapore Consortium Investment Management Limited, showcasing a broad investment strategy that spans across global public equity and fixed income markets. The company, which has its roots in Singapore, was originally known as Babcock & Brown Global Investments Ltd before undergoing a rebranding. Since its formation on April 24, 2006, Global Investments Limited has distinguished itself by focusing on diversified sectors, aiming to provide its investors with exposure to a wide array of asset classes including operating lease assets, loan portfolio, securitization assets, and alternative assets.
Global Investments Limited actively invests in the stocks of companies that are operating across diversified sectors worldwide. This approach allows the firm's investments to be spread across different industries, reducing risk and maximizing the potential for return.
The fund also allocates a portion of its assets towards fixed income markets globally. This includes investments in bonds and other debt securities, offering a balanced mix between equity and debt holdings for stable returns.
One of the key areas of focus for Global Investments Limited is the investment in operating lease assets. This includes assets that are leased to other parties in exchange for periodic payments, providing a steady flow of income to the fund.
The fund invests in a diverse portfolio of loans, encompassing a variety of loan types and debt instruments. This strategy is aimed at generating income through interest payments, contributing to the fund's overall return.
Global Investments Limited includes securitization assets in its investment mix. These are financial instruments that are pooled together and repackaged into new securities, allowing for the diversification of risk and the opportunity for added returns.
Additionally, the fund seeks to invest in alternative assets, which can include commodities, real estate, and private equity. This adds another layer of diversification, enabling the fund to tap into opportunities outside of traditional stock and bond markets.