Debt Capital Markets

The Debt Capital Markets Division is one of the longest established Fixed Income dedicated teams in the region with a track record that extends back to 1984.

The division currently manages portfolios in excess of US$ 2.0 billion in both International and GCC credit across all sectors including plain vanilla bonds, Islamic Sukuk, Asset Backed securities and Structured Notes.

The investment universe for DCM stretches across Sovereign, Quasi-Sovereign and Corporate issuers in the US, European and MENA markets. The team consists of experienced portfolio managers backed by the services of a dedicated in-house buy side research team.

In addition to managing the Corporation’s own investment portfolios, the team offers clients investment opportunities through access to the GIC KD Bond Fund, the GIC Gulf Bond Fund and segregated client mandates.

Explore Our Investments

Explore Our Investments Kingdom of Saudi Arabia State of Kuwait Kingdom of Bahrain State of Qatar United Arab Emirates Sultanate of Oman
FUNDS' PERFORMANCE
Gulf Bond Fund
Date : 17 May 2013
NAV per Share : US$ 14.1046
Total Assets : US$ 174 million
GIC KD Bond Fund
Date : 16 May 2013
NAV per Share : KWD 1.0245
Total Assets : KWD 6 million