Temasek’s return to shareholders in FY 2022 is 5.81%, with Singapore and China investing in the first and second places

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 Titanium Media App reported on July 12 that Temasek released its 2022 fiscal year annual report. In the 2022 fiscal year ended March 31, 2022, the net portfolio value of Temasek was S$403 billion (equivalent to approximately RMB 1,887.2 billion), an increase of S$22 billion from the previous fiscal year. The 1-year total shareholder return was 5.81%. For the 48 years since its inception in 1974, the compound annualized total shareholder return was 14%, and the 20-year and 10-year compound annualized total shareholder returns were 8% and 7%, respectively. By regional market, Temasek's portfolio continues to be rooted in Asia (63%), with Singapore (27%) and China (22%) continuing to be the two largest markets. In fiscal 2021, the Chinese market accounted for 27% of Temasek's portfolio, with the Singapore market in second place with 24%. Temasek said: "The global economy is in a fragile state. Rising inflation, surging commodity prices and severe supply chain bottlenecks have further exposed faults in global markets." As a result, the company is cautious about the outlook, expecting further declines in the stock market.

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