By pursuing a value-led share strategy with a long-term focus, the Investments division has carved a reputation of successfully managing a balanced stock and bond portfolio worth over US$ 200 million.
Investing in capital markets around the world, Investments division has significant stakes both inside and outside Qatar. These investments are largely conservative and are in growth-oriented sectors and include commercially viable firms returning strong dividends in the finance, retail, real estate, communications and consumer goods industries. To avoid speculative investments, the division’s experienced asset specialists and consultants ensure that every investment opportunity is thoroughly evaluated and assessed for risks. As a result, Investments division has acquired solid, assets that have weathered market downturns and generated sustainable profits during economic upswing.