Fullerton Fund Management believes in the success of active management. We recognise that investment opportunities exist across market cycles, and can be harnessed to deliver value to investors. Our investment focus is grounded by meticulous and insightful research, coupled with rigorous risk management, to create an effective investment framework that produces sustainable long-term results for our clients.
Explore the full range of our investment capabilities below and discover why Fullerton is entrusted to provide investment solutions to institutional, private wealth and retail investors alike.
Leveraging on our heritage and expertise, our fixed income strategies have a stellar track record based on our rigorous investment process, strong credit research capabilities and active risk management.
Our multi-asset strategies are dynamically managed through asset allocation shifts and tactical asset overlays, to help our clients attain their investment objectives while catering to their risk preferences.
We provide diversified, dynamic alpha-beta returns with a suite of adaptive and innovative solutions that generate sustained returns through market cycles, with low correlation to traditional markets.
We focus on delivering value through active management of short dated instruments and overseeing the cash flow liquidity across all asset classes.