TGArchive
·1 хв читання · 41 слово·👁 7.4K17

GIC’s 20-year annualised return at 4.2%; rebalances portfolio to keep up with inflation

GIC said that it has been increasing its allocation to certain high-growth asset classes, such as private equity, that “can provide returns that keep pace with elevated inflation".

https://bt.sg/UrZx

Відкрити в Telegram
Повернутись до каналу