The fund (a special open fund) aims to develop capital in the long term by investing in the shares of Gulf companies listed in the financial markets, including priority rights and investment funds licensed in the countries of the Gulf Cooperation Council, and achieving positive returns compared to the indicative index.
Key Investment Strategies
The Fund invests its assets in a diversified portfolio of shares of companies listed in the Gulf stock markets, depending on the approach of multiple investment policies. The fund may also invest in the fund's investment units licensed in the Gulf Cooperation Council countries. In order to manage risks, the fund will diversify its investment portfolio by investing in a different group of sectors of the Gulf stock market and different stocks in each sector without focusing on a specific sector or industry or a specific market.