Our core investment beliefs

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Income diversifies its investment broadly through multi-asset and multi-manager strategy. This includes investments in fixed income, equity, real estate, private equity and infrastructure assets that enhance diversification and improve the overall risk-return characteristics of the investment portfolio.

Income evaluates the opportunities and efficiencies in markets that allow active management to add value to portfolio performances. In such instances when active management can add value, Income will do so through appropriate resources.

As a social enterprise and long-term investor, Income supports the concept of responsible investment to drive a positive impact on environment, social and corporate governance (ESG). Income believes ESG principles can be effective tool to manage investment risks and generate long-term sustainable returns.

Accolades & highlights

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By keeping the annual management fees of our funds as much as 35% lower than others in the market[1], more of your money is actually invested instead of being lost to management fees. It is your money, after all, and we want it to work harder for you.

The Lipper rating system credits 47%[2] of our funds as Lipper Leaders[3], well above the industry average of 21%[2]. At the same time, our 16 CPF-approved Investment-Linked Funds have also emerged as Lipper Leaders[3] in various categories[4]. With our proven track record, you can be sure that your money is in good hands.