Capinnova Investment Bank's Asset Management goal is to provide quality investment management products and services to a wide spectrum of clients, both institutional and individual regionally and internationally. We are committed to offer the highest level of service possible to properly assess and achieve our client's financial objectives by channelling the resources to most innovative and intelligent risk adjusted investment opportunities.
Our aim is to apply our specialist asset management skills in serving the needs of our clients worldwide and in delivering value to our shareholders.
Our investment strategy is to identify the best Shari'a-compliant opportunities and ensure the best diversification of assets that will perform well in the varying financial and economical environment. We identify the finest compatible partners with strong demographic presence with local and regional expertise to implement a much disciplined strategy together.
Asset allocation recommendations are made by a team of our most senior investment professionals and analysts with diverse experience and research capabilities, representing each asset class. The team considers the outlook for financial markets and sets a globally balanced benchmark. We believe that quality investment service does not only mean good performance, but it means continued improvements to all aspects of our services over time.
Our diversified asset management portfolio will include investments in fixed income products, global and regional listed equities, real estate and alternative investments. We also provide fund advisory services.
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