Across all asset allocations, DIF places the highest standards of strategic importance in achieving sustainable financial risks while mitigating risk. We implement a comprehensive risk management framework to avoid unnecessary risks and generate high risk-adjusted returns.
As a global leader, we implement strategic investment solutions to help our partners achieve their strategic objectives. We’re experts in the regional and global economy with an active presence in key global locations. Our client-first approach forms the basis of our investment direction with a strong focus on diversification.
We determine our organizational priorities based on market evaluation and governance themes. Our expectations are centered around exploring board performance, diversity, and other sustainable themes determined by our stakeholders. Our investment process is focused on the following elements.
Our global investment strategies are based on existing opportunities around the MENA region and beyond. We’re constantly on the lookout for investment potential across equity, debt, currency, and commodity markets to explore viable allocations for our stakeholders. We strongly believe in the importance of a global investment approach to generate optimal risk-adjusted returns.