Bonds
The Debt Capital Markets team at GIC consists of five experienced bond portfolio managers. They apply a rigorous investment process in order to deliver consistent returns in a controlled risk framework.
Debt Capital Markets team is focused on an investment universe which stretches across sovereign, quasi sovereign, corporate and Sukuk bonds issued in the international and local markets.
GIC is currently offering two mutual funds invested in conventional and Sukuk GCC bonds with a long and successful track record together with Dedicated Portfolio Mandates (DPM) tailor made on clients specific investment objectives and guidelines.
> Gulf Bond Fund
Explore Our Investments
| FUNDS' PERFORMANCE | ||
| Gulf Bond Fund | ||
| Date | : | 10 May 2013 |
| NAV per Share | : | US$ 14.1168 |
| Total Assets | : | US$ 174 million |
| GIC KD Bond Fund | ||
| Date | : | 09 May 2013 |
| NAV per Share | : | KWD 1.0210 |
| Total Assets | : | KWD 6 million |