Apart from Liquid funds, Private Equity Funds and Structured Products, Al-Mal has several potential products in the pipeline. In order to develop such products, an organization needs human resources of high caliber, strategic alliances with a high degree of collaboration, and partners that share the same vision.
Al Mal Divresified Value Fund
Al Mal Diversified Value Fund is a global value driven focused fund that concentrates not only on relative values but also on absolute ones. The fund targets various asset classes like; equities, government and corporate fixed-income, convertible bonds and commodities. Through a well disciplined process, the fund focuses on capital preservation and aims to provide investors with attractive risk adjusted returns. Mr. Hayder Tawfik, the Fund Manager has 27 years experience in the Global Investments Industry and is the Head of the Asset Management Department.
Al Mal Opportunistic Fund
Al Mal Opportunistic Fund is a fund of hedge funds that aims to achieve long term capital appreciation with modest volatility that can deliver consistent positive returns in accommodating and difficult periods by investing in a broad portfolio of hedge fund strategies diversified by strategy type. The Fund utilizes bottom-up portfolio construction, with significant asset allocation considerations. The Fund seeks strategies that are able to exploit new opportunities arising in a various market conditions. The fund targets 12-15 percent annualized return with modest volatility. The fund intends to mitigate its risk and enhance its returns by investing around 50% in a core fund of hedge funds and the remainder will be allocated to single hedge funds that act as a satellite positions around the core.
Al Mal Global trend Fund
The Fund invests in listed securities and in its core, it will invest in Exchange Traded Funds (ETF) and Exchange Traded Notes (ETN) listed in global exchanges. The Fund aims to invest in multiple asset classes of listed Equities and ETFs/ETNs, including money market instruments. The Fund is diversified in multiple asset classes, regions, exchanges, and sectors in order to mitigate the overall risk and volatility of the Fund, it will utilize an active management strategy to manage and control investment exposures in the various asset classes’ and regions’ risk to help achieve its objectives. The main focus is to capitalize on global trends and themes as they unfold and impact certain sectors and segments of the global market.
Al Mal Recovery Fund
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