PORTFOLIO

Private Equity

With an investment strategy rooted in excellence, we partner with the top-performing managers to curate a diversified portfolio that spans across geographies. Our commitment to success is evident in the fact that this portfolio has continued to thrive for the last 18 years, a testament to our enduring dedication to generating returns and preserving capital through investments across the globe.

Since our inception, KF inc. has invested in both private (private equity, real estate, private debt, and infrastructure) and public markets. By combining our 25 years’ experience and global reach we are able to leverage our network to source the best deals which add lasting values to our portfolio. We proactively source investment opportunities though our extensive global network including entrepreneurs, industry leaders, private banks and equity managers. We target funds that have consistently returned top quartile across the known benchmarks such as Cambridge associates, Preqin, MSCI, etc."

Public Equity

Our strategy in the realm of public equity is global in scope, spanning across international markets. Our focus, however, is on forward-looking industries at the forefront of innovation. We seek opportunities in companies driving cutting-edge technologies, particularly those specializing in AI and biotechnology. This approach not only aligns with our commitment to staying at the forefront of market trends but also positions us to harness the potential of these transformative sectors for our investment portfolio.

Public markets are a cornerstone of growth for our investment portfolio, serving as a critical component in diversifying our risks. By engaging with a broad range of publicly traded assets, we enhance our ability to spread risk across various sectors and regions. This strategic diversification helps to mitigate potential losses while ensuring that we maintain significant exposure to market opportunities, thereby fostering balanced growth and resilience in our portfolio.

Real Estate

Our global real estate investments encompass a broad spectrum, featuring both direct ownership of properties and strategic participation in real estate funds. This dual approach allows us to harness opportunities in diverse markets and asset classes, ensuring a well-rounded and resilient real estate investment portfolio.

Our exposure to real estate spans a broad spectrum, including investments in commercial buildings through specialized funds and the development of new properties. This extensive involvement allows us to engage with various segments of the real estate market, from established assets to emerging opportunities. Diversification is a key principle for our portfolio, helping to balance risk and enhance returns by spreading investments across different real estate fields. This approach ensures a well-rounded and resilient portfolio, capable of adapting to market fluctuations and capitalizing on diverse opportunities.

Direct Investments

At our family office, we proudly uphold the entrepreneurial spirit that has guided our wealth generation journey. Continuously seeking avenues for growth and innovation, we are perpetually on the lookout to invest in or to develop operating businesses. Our ventures and partnerships extend to direct investments in businesses located both in the dynamic markets of the Middle East and the thriving landscape of the United States and Europe, embodying our commitment to fostering economic vitality and entrepreneurial excellence

We invest directly in companies, engaging in a range of commitments from partial ownership to full acquisition and management. This direct investment approach allows us to tailor our involvement based on the opportunities presented, whether by holding a significant equity stake or taking on complete control of the company. This flexibility enables us to actively influence company strategies and operations, maximizing our potential returns and aligning our investments with our strategic objectives.

Luxury Assets

We have sizeable investments allocated to luxury assets, comprising limited edition cars and highly sought after exquisite timepieces and jewelries, all through our extensive network of exclusive suppliers. This strategic choice not only diversifies our portfolio but also adds an element of prestige and enhances our investment resilience by venturing into tangible, high-value assets that hold intrinsic and collector's value over time.

A small but notable segment of our portfolio is dedicated to investing in watches and vintage cars. These assets, due to their limited availability and collectible nature, tend to appreciate in value over time. By incorporating these unique investments, we aim to further diversify our portfolio, adding an alternative asset class that can provide additional growth potential and stability. This strategy not only enhances the overall richness of our investment approach but also helps mitigate risk through diversification.

INVESTMENT GROUP