Articles

19
Jun

Phillip Capital Management – Being Nimble With Innovative Cash Management Solutions [INSIGHT RELEASE]

Phillip Capital Management (S) Ltd has published an article titled “Being Nimble With Innovative Cash Management Solutions”. Owing to the recent market volatility, we understand that a number of investors are sitting on the side-lines, with surplus cash idling in bank savings accounts. This phenomenon calls for a review of how investors should manage their surplus cash. In the article,

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2
Jun

United SGD Fund End March 2020 Update

Join Joyce Tan, Co-Head of Fixed Income Asia & Singapore, as she updates on the Q1 performance of the United SGD Fund, and discusses the fund positioning and outlook amid COVID-19.  

26
May

Phillip Capital Management – A Better Way To Manage Surplus Cash & Case Study Of A Government Agency [INSIGHTS RELEASE]

Phillip Capital Management (S) Ltd is pleased to inform you that Phillip Money Market Fund (“PMMF”) has hit a significant milestone of reaching SGD $1 billion in asset-under-management (“AUM”) during the first quarter of 2020. In the similar period, we have seen how markets went into risk-off mode and investors rushed for safety just as the COVID-19 escalated into a

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18
May

Phillip Capital Management – Abundance Of Liquidity To Create Opportunities In Tech Space Once Again

Phillip Capital Management (S) Ltd has recently published an article titled  “Abundance Of Liquidity To Create Opportunities In Tech Space Once Again”. The article seeks to answer some of these questions: Why is our Global Opportunities Fund taking on a risk-on view on global markets? What region to be overweight on, US or China? How does a global fund with

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8
May

Phillip Capital Management – Favourable S-REITs Yield Spreads Against 10-year SGS

Phillip Capital Management (S) Ltd has recently published an article titled  “Favourable S-REITs Yield Spreads Against 10-year SGS”. The article highlights some of the insights our fund managers gathered: As at the start of April, the market seems to have priced in an average 20% cut in DPUs for S-REITs (base case scenario) In our worst case scenario (from perspective

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29
Apr

Allianz AGI Insights (April 2020): How to rethink US allocations during the coronavirus crisis?

Allianz Global Investors Insights Please find Market Insights article from Allianz Global Investors below: Insights April 2020 – How to rethink US allocations during the coronavirus crisis   

15
Apr

Should I Invest In US Funds Amid COVID-19 Pandemic?

Should I Invest In US Funds Amid COVID-19 Pandemic? Markets have been extremely volatile due to the coronavirus (COVID-19) situation and oil price war. Panic has seeped into the global stock markets and caused a market carnage. It is not just the volatility, but also the velocity of the market crash that caught us by surprise. On 11 March 2020,

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5
Mar

The Rise of ESG Investing

The Rise of ESG Investing Investors used to make investments in companies based on financial performance. In the recent years, increasingly they look beyond profits and prefer investing in companies that align with their principles and values.   So… What Exactly is ESG? ESG stands for Environmental, Social and Governance. The integration of ESG factors into investment policies, processes and

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9
Jul

Franklin Templeton – Q3 2019 Global Market Investment Outlook

Reining in the Risk  – Q3 2019 Global Investment Outlook

29
May

Allianz AGI Insights

Allianz Global Investors Insights Insights May 2019 Insights October 2018 Insights September 2018 Insights August 2018 Insights July 2018

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