Leap into prosperity this CNY 💰     Get an $88 head start to growing your wealth.

Leap into prosperity this CNY 💰Get an $88 head-start to growing your wealth.

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Cash & SRS investing conveniently on one award-winning platform

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Lower your costs by up to 1% per year

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Licensed by MAS with assets held in your own name at UOB Kay Hian

Access top Partners Group funds among the 200+ best-in-class unit trusts now available on Endowus Fund Smart

Invest on Fund Smart in just a few clicks

  • 1. Create an Endowus account

    Onboard online in 10 minutes. When you create an Endowus account, we’ll create a trust account in your own name at UOB Kay Hian, Singapore’s largest broker. This trust account will handle your assets and process the transactions you make on the Endowus platform.

    You get the ease of use of the Endowus platform, and the trust that UOBKH brings to all its clients, including you.

  • 2. Add a Fund Smart goal

    Build your optimal portfolio using best-in-class funds at low cost with Fund Smart. Select your funding type — Cash, CPF or SRS.

  • 3. Choose from 200+ funds

    Explore our curated range of funds across asset classes, geographies, sectors, and styles. Our platform also guides you with real-time data on fund characteristics, like holdings and performance, to help you make better decisions.

  • 4. Investing better, at your fingertips

    Invest in a single fund or build a portfolio of up to eight funds. There is no limit to the number of portfolios you have on Endowus. Monitor your performance and manage your investments online.

About

Partners Group

Partners Group is a leading global private markets firm. Since 1996, the firm has invested USD 185 billion in private equity, private real estate, private debt, and private infrastructure on behalf of its clients globally. Partners Group seeks to generate strong returns through capitalising on thematic growth trends and transforming attractive businesses and assets into market leaders. The firm is a committed, responsible investor and aims to create sustainable returns with lasting, positive impact for all its stakeholders. With USD 131 billion in assets under management as of 30 June 2022, Partners Group provides an innovative range of bespoke client solutions to institutional investors, sovereign wealth funds, family offices and private individuals globally. The firm employs more than 1,600 diverse professionals across 20 offices worldwide and has regional headquarters in Baar-Zug, Switzerland; Denver, USA; and Singapore. It has been listed on the SIX Swiss Exchange since 2006 (symbol: PGHN).

 

Partners Group sees its emphasis on operational excellence as a strong competitive advantage, as evidenced by the significant resources, integrated systems, and dedicated teams the firm has built into its global private markets investment platform. Partners Group’s approach has been to institutionalise operational excellence by implementing the appropriate processes, procedures and controls to ensure the highest level of quality and excellence in its operations.

Awards

Why

Partners Group Global Value SICAV is a Luxembourg based investment fund organised as a SICAV with the objective of obtaining superior returns and of achieving capital growth over the medium and long-term by investing in private equity. It provides investors with a broad diversification across geographies, financing stages and instruments, while using Partners Group's relative value investment approach to systematically overweight those segments and instruments that offer superior value at a given point in time, in order to significantly enhance risk-adjusted returns. Its legal structure allows investors to subscribe and redeem shares on a monthly basis, thus avoiding the long lock-up periods common in most private equity funds.

·     Partners Group Global Value SICAV provides immediate exposure to a globally diversified private equity portfolio (no J-curve effect).

·     The fund adopts a dynamic asset allocation, using directs, secondaries, and primaries.

·     The fund gains exposure to specific regions, vintage years and  industries to ensure diversification

·     Clients receive fully paid-in shares with no capital calls or distributions to process

·     The fund provides defined liquidity on a monthly basis

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