Asset Management
Institutional Excellence

Professional portfolio management and alternative income solutions delivering consistent returns across market cycles.

Our Strategies

Portfolio Management

Diversified multi-asset portfolios optimized for risk-adjusted returns

  • Alternative allocation strategies
  • Dynamic rebalancing
  • Risk parity models
  • Performance reporting

Target: 12-15% IRR

Yield Products

Income-generating alternative investments with quarterly distributions

  • Real estate income funds
  • Trade finance portfolios
  • Infrastructure debt
  • Dividend strategies

Target: 8-10% Annual Yield

Structured Finance

Custom financing solutions and credit-enhanced investment products

  • Mezzanine debt
  • Convertible instruments
  • Revenue-based financing
  • Asset-backed securities

Target: 10-14% IRR

Alternative Income

Non-traditional income streams from private markets and specialty assets

  • Private credit
  • Royalty financing
  • Litigation finance
  • Specialty real estate

Target: 15-18% IRR

Assets Under Management

$550M+
Total AUM
+42% YoY
280+
Active Investors
18 countries
18.2%
5-Year IRR
Net of fees

Partner with CapitalMENA Asset Management

Institutional-grade alternative investment strategies for sophisticated investors.

CapitalMENA

A Hybrid Alternative Investment Platform building the future of private markets through real assets, technology, sustainability and digital ownership frameworks.

From USD 100M Fund I to USD 1 Billion Multi-Fund Platform

Regulatory Disclaimer: CapitalMENA is currently in the process of establishing its regulatory framework. Nothing on this website constitutes financial advice, an invitation to invest, or an offer of financial products. All investment activities will commence only after obtaining the appropriate licenses from the relevant regulatory authorities.

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