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Asset Management

ABOUT 


Al Ramz is a UAE domiciled public joint stock company listed on the Dubai Financial Market. Founded in 1998, Al Ramz is regulated by the UAE Securities and Commodities Authority and the Dubai Financial Services Authority.


AI Ramz plays a prominent role in regional financial markets as a leading securities market maker and liquidity provider as well as leading financial service provider in corporate finance, asset management and securities brokerage.  In 2018, Banker Middle East named AI Ramz as the Best Market Maker and Broker in the Middle East.


WHAT WE DO


Al Ramz Asset Management offers a broad spectrum of investment solutions spanning multiple asset classes and investment styles.  These include global and regional discretionary and non-discretionary portfolios, mutual funds, and other investment vehicles for institutions and high net worth individuals. 


GOVERNANCE


We understand that as a fiduciary with complex responsibilities, institutionalizing a robust and transparent governance framework is of paramount significance.  Our aim is to achieve sustainable solutions for our clients.


Our investment selection process incorporates robust checks and balances which are overseen by an Investment Committee.


Operationally, we employ an independent custodian to ensure full segregation of duties in our execution.  Our integrated system ensure that client reporting is done in real time. 


Regular operational reporting triggers rebalancing decisions, ensuring that defined and approved weightings are strictly adhered to. 


INVESTMENT APPROACH


On-the-ground due diligence and fundamental research are the foundation of our investment approach.  Our investment process is structured and disciplined, implemented with skill by accountable, accredited and experienced professionals.


Due diligence for direct investments involves meeting management, understanding their business model and thorough assessment covering operating environment, strategy, management, risk profile, earnings and profitability and asset performance, ensuring that we fully understand prospective risks and rewards.


Our professionals employ tailored proprietary research, large data sets and third-party research to design asset allocation strategies, involving risk mitigation in accordance with the client’s risk appetite and mandate approval.