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Our investment approach is focused on generating good long-term returns by constructing a portfolio that is resilient to macroeconomic and market pressures, while also being aligned with the Client’s risk tolerance.
To protect the Client’s interests and avoid permanent impairment to the portfolio, GIC’s risk management objectives aim to:
Our approach to risk management is multi-pronged. This does not mean that there are no risks within the portfolio, but that risks within the portfolio are looked at in a comprehensive manner.
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