Investment process
Empowering Global Partnerships Through Strategic Investment and Insight
Across all asset allocations, OIF upholds the highest standards of strategic discipline to ensure sustainable financial performance while effectively managing risk. Our comprehensive risk management framework is designed to proactively identify and mitigate potential exposures, enabling us to generate strong, risk-adjusted returns for our stakeholders.

Our Core Investment Principles
As a global investment leader, we deliver strategic solutions tailored to help our partners achieve their long-term objectives. With deep expertise in both regional and international markets, and an active presence in key global hubs, we offer insights that drive meaningful outcomes. Our client-first approach is the foundation of our strategy—guided by a strong emphasis on diversification and long-term value creation.
Promoting Diversity Through Our Investment Practices
Our organizational priorities are shaped by market evaluation and governance themes, with a focus on board performance, diversity, and sustainability, as guided by our stakeholders. Our investment process emphasizes the following elements:
- Diversity Across Boards
- Sustainable Practices
- Value-Driven Incentives
- Impact on Local Communities
Unlocking Global Potential
Our global investment strategies leverage opportunities across the MENA region and beyond. We continuously seek potential in equity, debt, currency, and commodity markets, focusing on optimal allocations for our stakeholders. We believe in a global approach to generate superior, risk-adjusted returns.
