Healthcare and Pharmaceuticals:
Al Quasha Investment Group is a private concern that combines the strength and security of a large, international institution with the nimbleness of our entrepreneurial beginnings. We
have the financial capabilities to participate in major transactions, the resilience to withstand market volatility and the agility to quickly capitalize on new opportunities as they arise..
Healthcare, Medical equipments, Pharmaceuticals and Health insurance. The investment vertical covers a rapidly expanding portfolio of investments across the Middle
Wholesale and Retail Trade:
Al Quasha Investment Group is the flagship of our Hospitality vertical. Middle East -renowned, the Retail and Mall are the epitome of luxury.
Industrial and Commercial:
Developing and operating free trade zones dedicated to industries that cover ICT, Commercial projects, Education and Sciences. We anchor in to the Oil and Gas fields to grow.
Transportation investment can improve air quality and energy efficiency – Investments in clean vehicle technology, clean fuel technology, and congestion relief
Al Quasha Investment Group is a leading real estate company in the region. With extensive holdings and real estate projects and services catering to every business and residential properties.
Our Telecommunications Company is one of the regional satellite provider mainly focused on Middle East and African market. The company is based in Abu Dhabi and
distributes its products and services.
Al Quasha Investment Group’s Public Equity Strategy provides broad exposure to global equity securities. The Strategy seeks to add alpha through tactical positioning across sub-asset classes and through external manager selection. The Strategy is diversified by geography, industry and investment style, and comprised of long-only and long-biased
strategies in both Global Developed Markets and Global Emerging Markets. Public Equity assets are included as part of Al Quasha Investment Group’s overall investment portfolio to fulfill the following roles:
To deliver attractive risk-adjusted returns through dividend income and capital appreciation. To provide diversification and low correlations with other asset classes in investable universe.