We’re busy updating the site for you!
We’ll be back online shortly.
Our dedicated Corporate Cash Management Unit (CCMU) was established to offer comprehensive liquidity management solutions to effectively manage cash flows for corporate and institutions.
Liquidity Management is suitable for investors who are:
Low risk and stable returns compared to other asset classes such as fixed income and equities while providing potentially higher returns than fixed deposits
Quick and easy access on withdrawals for investors to fulfill their short-term and emergency cash needs
Flexibility Whenever needed, cash can be fully or partially withdrawn, with no penalty and no lock-in period
Reduce the hassle of monitoring cash placements on a daily basis by entrusting liquidity management to our team of Investment professionals
Diversify from concentrated placement risk with our Fund’s panel of financial institutions Investors may choose from our range of comprehensive liquidity management solutions catering to different risk tolerance and liquidity duration required.