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BGC Investment Fund invests in a portfolio of highly liquid, low-volatility instruments, including:
As an independent fund, we are not tied to any single bank or institution. This allows us to select from leading global asset managers — including BlackRock, JP Morgan, UBS, Citi, and others — to construct optimised portfolios delivering stable, risk-adjusted returns.

In addition to market-based instruments, the fund allocates a portion of its portfolio to Impact Investments — real projects that contribute to the UN Sustainable Development Goals (SDGs).
These may include:
Each project must meet stringent financial and ESG benchmarks, ensuring commercial viability and measurable impact outcomes.

We take a multi-faceted approach to governance and risk management:
Our in-house team applies strict governance policies and procedures to all potential clients and investments. Our Fund Administrator, Cornwalls Lane (Gibraltar), is registered with the Gibraltar Financial Services Commission and provides independent oversight on all key Fund operations including client on-boarding, auditing, NAV calculations, reporting and corporate filings.

Copyright © 2025 BGC Global Investments - All Rights Reserved.
BGC - INVESTING IN A SUSTAINABLE FUTURE
The Fund is not available to be promoted or marketed to the general public in any jurisdiction. This website has been created to allow digital access to information concerning the Fund to a limited number of approved investors.
Investment in the Fund is not generally permitted unless it is undertaken strictly by invitation and only to a select and limited group of persons (less than 50) who are known to the promoter in accordance with Gibraltar law.
The Fund is managed by an Administrator licenced by the Gibraltar Financial Services Commission.
Contact us for more details.