Treasury

The Treasury Division of GIC is responsible for the management of the Corporation’s liquidity, interest rate exposure and Foreign exchange activity. It is responsible for Asset and Liability Management for the Corporation and for the Risk Management strategies necessary to manage GIC’s investment activities.

In addition, Treasury provides a professional and competitive advisory and execution service to its clients, in order for them to meet their own ALM and Risk management requirements.

GIC is an active participant in the local and international markets for its own account and for clients across all asset classes both on and off the balance sheet.

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 Feb 2012
NAV per Share : US$ 13.05
Total Assets : US$ 153 million
Gulf Islamic Fund
Date : 16 Feb 2012
NAV per Share : US$ 6.10
Total Assets : US$ 10 million