Singapore fund targets Far East opportunities
The road to the formation of Republic Investment Management (RIM) was unconventional. Two factors made it happen.
A prominent Singaporian family became disillusioned with its private bank and wanted an independent investment team to manage it portfolio actively.
The investment team was brought together by fatigue of red tape common with large managers.
The combination of these two factors led to the creation of RIM in December 2003.
It has now grown from that one family and four staff to servicing 11 families with 15 staff. At the end of March 2009, the total assets under management were $150 million.
Altho
Only users who have a paid subscription or are part of a corporate subscription are able to print or copy content.
To access these options, along with all other subscription benefits, please contact info@risk.net or view our subscription options here: http://subscriptions.risk.net/subscribe
You are currently unable to print this content. Please contact info@risk.net to find out more.
You are currently unable to copy this content. Please contact info@risk.net to find out more.
Copyright Infopro Digital Limited. All rights reserved.
As outlined in our terms and conditions, https://www.infopro-digital.com/terms-and-conditions/subscriptions/ (point 2.4), printing is limited to a single copy.
If you would like to purchase additional rights please email info@risk.net
Copyright Infopro Digital Limited. All rights reserved.
You may share this content using our article tools. As outlined in our terms and conditions, https://www.infopro-digital.com/terms-and-conditions/subscriptions/ (clause 2.4), an Authorised User may only make one copy of the materials for their own personal use. You must also comply with the restrictions in clause 2.5.
If you would like to purchase additional rights please email info@risk.net
More on Investors
Asia Risk Congress 2017: Factor-based investing in emerging markets
Sponsored video: Premia Partners
Beta often is a "meaningless concept"
When correlation is low, hedge fund investors are "simply wrong" to use beta
Arden: AIFMD driving investors to alternative Ucits
Managers faced with a choice of how to operate funds going forward
USS IM cajoles hedge funds to behave better
Corporate governance initiatives gain traction with funds and investors
India steers offshore investors away from P-notes towards direct market access
Sebi tries to exert greater control over foreign investment by tightening rules governing P-note issuance and streamlining foreign investor approval process
Hedge funds play key role in Ontario Teachers’ Pension Plan
Seeing the bigger picture
Communicating portfolio risk intuitively and effectively
Visualising risk
Hedge funds can rescue pension fund industry, says Cern pension chief
Radical conservative