Group’s Vision:

 

Shekoufa Investment Group aims to be a global and regional leader that places top priority on realizing the ultimate in customer satisfaction and brand loyalty. With these aims in view, we are raising our corporate value and value-based management by strengthening our competitiveness in our core business areas and creating new synergies by expanding into other areas of strategic relevance and importance. As a corporate citizen, Shekoufa values the importance of sustainable coexisting with the society and, planning about what we can do for the well-being and welfare of people as a company, promotes various philanthropic social contribution activities.

 

Shekoufa’s Investment Strategy

 

Our Investment Philosophy:

At Shekoufa, our investment philosophy is quite simple. We believe that both proper asset allocation and proper investment vehicle selection are the cornerstones to any efficient portfolio. This combination is what drives long-term risk adjusted value in our portfolio.

Shekoufa’s portfolio is thematic and tactical in nature. This tactical and thematic approach affords us the ability to reduce risk where it may be perceived. Through a disciplined approach to asset allocation, investment vehicle selection, portfolio risk diversification and knowledge-based craftsmanship we are unconstrained in our investment strategy. This supports our ability to efficiently harvest persistent long-term sources of returns. Shekoufa looks for value on a global scale within all traditional and non-traditional asset classes, and traditional or alternative investments. At times, while seeking value, we may encounter short term volatility. We view volatility as an opportunity to capitalize on short term inefficiencies in the marketplace which may benefit our portfolio in the long run.

Shekoufa focuses heavily on risk management and compliance. Part of our risk management strategy is performing ongoing research and due diligence on all our businesses. In doing so, we have a qualitative and quantitative procedure that all our managers must meet before consideration in our portfolios. Our managers and portfolios are monitored on a daily basis by our investment watchdog.

Most importantly, Shekoufa believes in full transparency. We align our investment interests alongside our business partners and co-investors.

At Shekoufa, our investment philosophy is quite simple. We believe that both proper asset allocation and proper investment vehicle selection are the cornerstones to any efficient portfolio. This combination is what drives long-term risk adjusted value in our portfolio.


 

 

Our Investment Focus:

 

1- Buyout funds

2- Venture capital

3- Growth capital (growth equity)

3- Mezzanine capital

mezzanine-copy