“It’s about putting our clients’ needs first and customising a portfolio in Alternatives that fits their risk appetites and returns expectations, while delivering on performance.”
– Tan Huck Khim, Deputy CIO, Head of Alternatives
We retain our core focus of generating diversified alpha returns with low correlation to traditional equity and fixed income markets. Our broad and deep knowledge of idiosyncratic and emerging opportunity sets, across both public and private markets, has resulted in unique investment strategies that have delivered positive outcomes over market cycles.
Through partnerships with the best-in-class specialists and leveraging on the knowledge in adaptive construction and management of portfolios, Fullerton has built a successful and consistent track record as we seek to continue generating sustainable returns for investors.
- Private equity funds
- ESG and decarbonisation funds
- Private markets fund-of-funds
- Liquid private market solutions
- Segregated managed accounts