Investment Committee Views (ICV) is a high-frequency publication, which includes investment strategy and asset allocation. Under the auspices and guidance of GAD, it provides a synthesis of the medium- and short-term market views of the organization’s key divisions. It consists of two parts: the first provides a synopsis of the investment backdrop and its consequences for investment strategy the second aims at providing specific investment solutions consistent with the suggested investment strategy.
Bond Lists (Daily Issue)
These lists cover a wide spectrum of criteria such as time horizon (short, medium, long term), geographical exposure, risk tolerance (low, medium, high), issuer (corporate, sovereign, quasi-sovereign). Custom-made bond portfolios are the natural extension of the bond lists and are provided according to each client’s needs upon request.
Model Portfolios (Monthly Updates)
Model portfolios reflect the current investment and asset class recommendations, which follow the ICV investment strategy. These generic portfolios cover three risk levels (low, medium, high) while the investment allocation covers asset class and geographical exposure.
Asset Markets & Investment Strategy (Monthly Issue)
This is an analysis of the current investment climate and the key events that affect global markets.