The Asset Management division provides clients with tailor-made investment portfolios based on their individual risk-return profiles and objectives and constraints. By adopting an active asset allocation approach, the stated investment policy and objective of each portfolio determines its strategic asset allocation, taking into account the outlook for the economy overall, stock and bond market performance, and individual equity valuations. Examples of managed portfolios include capital-guaranteed, growth, balanced, and leveraged portfolios, in addition to a broad range of specifically-tailored portfolios in various currency denominations, all aiming to achieve superior investment performance.
Mutual Fund Management
Horizon Fund was launched as an open-ended fund registered in Jordan on March 1, 2005. The Fund aims to achieve long-term appreciation in its net asset value (NAV) through maximizing the market value of its investments in various asset classes on a local, regional and global basis, while minimizing investment risk through diversification.
Structured Investment Products
The Asset Management division offers clients the opportunity to invest in a variety of structured investment products that meet diverse client risk appetites and return expectations, such as the “MENA Enhancer Note”, a capital-guaranteed note linked to the performance of the MENA markets which was launched in July 2007.