Funds
Strategies operating within a consistent governance and oversight framework.
Fund Structure
IGQ Golden Compass VCC
IGQ Golden Compass VCC is our Singapore-domiciled umbrella structure that houses all IGQ
sub-funds under one cost-efficient and tax-efficient platform. Designed for institutional robustness, the VCC provides statutory segregation between sub-funds—ensuring each strategy’s assets and liabilities remain ring-fenced and fully protected.
IGQ Capital Pte Ltd serves as the Fund Manager across all sub-funds, delivering consistent governance, disciplined investment oversight, and operational scalability. This structure enables us to launch differentiated strategies quickly and efficiently, while giving investors the confidence of a modern, MAS-regulated fund framework built for flexibility, safety, and long-term performance.
IGQ Capital Pte Ltd serves as the Fund Manager across all sub-funds, delivering consistent governance, disciplined investment oversight, and operational scalability. This structure enables us to launch differentiated strategies quickly and efficiently, while giving investors the confidence of a modern, MAS-regulated fund framework built for flexibility, safety, and long-term performance.
Sub-fund
Aurum Fund
The Aurum Fund is IGQ Capital’s flagship global multi-asset equity strategy designed to deliver attractive risk-adjusted absolute returns over a medium to long-term horizon.
Anchored by a high-conviction investment philosophy, the fund focuses primarily on equities and equity-linked securities, complemented by tactical flexibility across fixed income, money markets, and derivatives to navigate evolving market conditions.
Its thematic, top-down research framework identifies structural growth drivers worldwide, while disciplined bottom-up security selection ensures each investment aligns with long-term value creation.
Anchored by a high-conviction investment philosophy, the fund focuses primarily on equities and equity-linked securities, complemented by tactical flexibility across fixed income, money markets, and derivatives to navigate evolving market conditions.
Its thematic, top-down research framework identifies structural growth drivers worldwide, while disciplined bottom-up security selection ensures each investment aligns with long-term value creation.
Sub-fund
Tx3 Growth Fund
The Tx3 Growth Fund seeks to capture global growth opportunities by investing in a concentrated portfolio of high-conviction equity and equity-linked positions, supported by the same rigorous thematic and fundamental research process applied across IGQ Capital’s strategies.
With the ability to tactically allocate across fixed income, cash, collective investment schemes—including a capped allocation to cryptocurrency ETFs—and derivatives, the fund is designed to enhance returns while dynamically managing macro and market risks.
Its flexible asset-allocation framework allows the portfolio to adapt quickly to shifting growth cycles and secular trends.
With the ability to tactically allocate across fixed income, cash, collective investment schemes—including a capped allocation to cryptocurrency ETFs—and derivatives, the fund is designed to enhance returns while dynamically managing macro and market risks.
Its flexible asset-allocation framework allows the portfolio to adapt quickly to shifting growth cycles and secular trends.
Sub-fund
Andalan Fund
The Andalan Fund aims to deliver strong absolute returns over the medium to long term through a concentrated and research-driven allocation to global equities and equity-linked securities. Built on IGQ Capital’s top-down thematic lens and disciplined security selection process, the fund targets companies benefiting from powerful structural growth drivers.
Its flexible investment mandate supports tactical shifts across fixed income, deposits, money markets, collective investment schemes, and derivatives, enabling the fund to manage risk effectively while positioning to capture high-quality growth across market cycles.
Its flexible investment mandate supports tactical shifts across fixed income, deposits, money markets, collective investment schemes, and derivatives, enabling the fund to manage risk effectively while positioning to capture high-quality growth across market cycles.
Sub-fund
Catalyst Fund
The Catalyst Fund offers investors access to a differentiated strategy investing across both public and private markets, with the goal of delivering attractive risk-adjusted absolute returns over the medium to long term.
The fund’s mandate spans equity, equity-linked, and debt securities of listed and private companies, as well as selective allocations to other collective investment schemes. Each Class within the fund, each tied to a dedicated portfolio of attributable investments, enable focused exposure to curated opportunities while maintaining the flexibility to hedge, tactically allocate, and optimize risk across varying market environments.
The fund’s mandate spans equity, equity-linked, and debt securities of listed and private companies, as well as selective allocations to other collective investment schemes. Each Class within the fund, each tied to a dedicated portfolio of attributable investments, enable focused exposure to curated opportunities while maintaining the flexibility to hedge, tactically allocate, and optimize risk across varying market environments.
Sub-fund
Cliff Fort Fund
The Cliff Fort Fund is a global multi-asset strategy designed to generate compelling, risk-adjusted absolute returns through a high-conviction portfolio of equities and equity-linked securities.
While the mandate is intentionally broad and allows tactical diversification across fixed income, money markets, collective investment schemes and derivatives, the fund currently focuses primarily on opportunities within the Malaysian equity market, where IGQ Capital leverages deep on-the-ground expertise and strong informational advantages.
Guided by a thematic top-down framework and disciplined bottom-up selection, the fund seeks to capture long-term structural growth while maintaining resilience across market cycles.
While the mandate is intentionally broad and allows tactical diversification across fixed income, money markets, collective investment schemes and derivatives, the fund currently focuses primarily on opportunities within the Malaysian equity market, where IGQ Capital leverages deep on-the-ground expertise and strong informational advantages.
Guided by a thematic top-down framework and disciplined bottom-up selection, the fund seeks to capture long-term structural growth while maintaining resilience across market cycles.
Get In Touch with Us
For fund-related enquiries or to speak with our team, please get in touch.