Read our 2024 annual report on our sustainability activities across fixed income, multi asset overlay and implementation mandates.
30+ year
50+
One of Australia’s most experienced fixed income and multi-asset overlay managers.
With a 30+year track record of delivering better investment outcomes for our clients, we partner with our clients to manage A$23 billion in cash and fixed income AUM and around A$100 billion in multi-asset derivatives exposures.
We have the specialist skills to manage the full spectrum of liquid market investment solutions, including cash and fixed income. This includes a broad set of multi-asset derivative solutions such as currency overlay, asset rebalancing, options solutions and other innovative synthetic strategies across global fixed income, inflation, equities, credit and commodities.
Meet the Liquid Markets Group
Each member of the QIC team brings a unique combination of specialist skills, experience and perspectives to the table. We value credentials but conviction is what counts.
As at 30 June 2024.