As a strategic asset class, we consider global fixed income instruments such as listed Sukuks. Our strategy aims to achieve regular, safe and reasonably predictable periodic returns. We believe this is best achieved through discretionary portfolios managed effectively in accordance to our investment objectives.
The alternative investment strategy, also known as private markets or unconventional investments, is an essential component of our strategic allocation for two main reasons:
a. Higher risk-adjusted returns;
b. Reduced risk due to negative correlation with traditional investments.
We aspire to partner with prominent private funds globally in areas of focus such as real estate, infrastructure, private credit, and unique specialty finance.