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GIC and Ortec Finance’s climate scenarios offer investors a practical tool to analyse the impact of climate risks on financial asset returns and the wider economy. A unique feature of the GIC scenarios is their analysis of market risks, including whether markets price in future climate risks smoothly or disruptively, and whether these would lead to sentiment shocks.
22 Apr, 2023 ∙ 3 Mins Read
Dr Jeffrey Jaensubhakij, GIC’s Group Chief Investment Officer, speaks to Martin Siah, Singapore Country Executive at Bank of America, about the balance between the pursuit of net zero and profit, shifting the mindset of GIC staff, and the challenges that remain with investing in the global transition.
30 Mar, 2023 ∙ 3 Mins Read
Lynn Forester de Rothschild discusses the need for capitalism to evolve to address widening inequalities and declining public trust, the role investors play in enabling this shift, and the key barriers to building an inclusive economy.
06 Feb, 2023 ∙ 4 Mins Read
High-impact and scalable climate-related opportunities, the challenges faced in climate investing, and the importance of on social equity and climate justice were among the topics discussed at a GIC Insights 2022 panel on sustainability.
02 Feb, 2023 ∙ 3 Mins Read
At GIC Insights 2022, energy expert Daniel Yergin spoke about the opportunities and challenges presented by the energy transition and its implications for energy security, the oil and gas market, and supply chains more broadly.
26 Jan, 2023 ∙ 3 Mins Read
Creating a sustainable and inclusive future will require collaborative action, strong partnerships, and at times, a mindset shift. These were among the key takeaways from GIC’s Partnership Forum 2022 held in September in NYC.
05 Jan, 2023 ∙ 4 Mins Read
As part of McKinsey’s Shapers of Sustainability series, GIC's Rachel Teo spoke about the challenges facing Asia in its net-zero transition, the role investors play in supporting developing countries’ transition efforts, and the importance of financial instruments such as blended finance.
01 Dec, 2022 ∙ 2 Mins Read
GIC and MioTech took an in-depth look at how the energy transition is shaping China's economy, with an analysis on how demand and supply factors are accelerating decarbonisation efforts.
28 Nov, 2022 ∙ 5 Mins Read
GIC’s Carbon Earnings-at-risk Scenario Analysis (CESA) provides investors with a forward-looking and financially material risk measure to assess the impact of carbon prices, a key transition risk, on companies’ earnings and investors’ portfolio returns.
25 Oct, 2022 ∙ 5 Mins Read
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