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Injaz Mena has built up a significant Assets under
Management portfolio since inception and it has
continued to grow at a steady rate to reach over
AED 1 billion. A key influence for many of those
putting their trust in Injaz Mena is the fact that
their funds are placed in investments that Injaz
Mena itself has invested in, as principal, following
the investment strategies outlined above.
Injaz Mena is an active trader on the stock markets
of the GCC, Asia and Europe. When choosing equities,
Injaz Mena looks for stocks that have sound fundamentals
but are intrinsically under-valued by the market.
It also looks for equities where strong growth can
be anticipated in the short term. Injaz Mena has
regularly participated in IPOs in emerging markets
with considerable success. It has a balanced portfolio,
well diversified by region and stock type for risk
management and every equity investment is backed
by solid research. It generally outperformed most
benchmark indices irrespective of prevailing local
market conditions, thanks to its careful stock selection
policies and ability to time its entry and exit
optimally.
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