Safety Is...


key for any client portfolio. In order to achieve this, first class processes must be in place. An outstanding regulatory and compliance framework in Singapore, based on the Securities and Futures Legislation and the Notice and Guidelines on AML / CFT, forms the basis for this.


Diligent oversight of investment guidelines, supported and controlled by two top auditing companies, forms one important part of our internal and external control procedures. State of the art operations with clear split of responsibilities, checks and balances and the application of outstanding standards are another.


The various risks are constantly reviewed. They include market risks, operational risks as well as counterparty risks.


Applying these aspects make clients’ portfolios safer and to provide this safety is

…Of Utmost Importance