YEARS
WORKING
EXPERIENCE
Throughout the years, we have strengthened our presence in various growth sectors both in the UAE and globally, driven by an unwavering commitment to innovation. We have been a reliable catalyst for businesses in real estate, manufacturing, finance, healthcare, and education, among others. With a sustainable business model and a fearless approach, we will continue to envision the future.
With decades of experience serving clients, our team has observed that many financial planning challenges arise from factors beyond mere financial considerations. Frequently, these issues have emotional roots and can be more effectively resolved when clients achieve a clearer understanding of their objectives.
Majid Invest Group’s success and vision are founded on transparency and a dedication to maintaining core ethical and corporate principles, such as honesty, fairness, equality, and dignity in all our business dealings. We are committed to cultivating absolute trust and accountability in all that we undertake.
Our experience shows that when we serve our clients with integrity and honesty, success naturally follows. If these values are ever compromised, rebuilding trust becomes a significant challenge. We are committed to adhering to the law and following all relevant rules, regulations, and guidelines.
In our business, we prioritize providing outstanding customer service and delivering a return on investment that genuinely benefits our clients and stakeholders. Profitability is essential for achieving superior returns, enhancing our capital, and attracting and retaining the best talent.
Innovation has been at the core of Majid Invest Group since its inception. The company has
consistently embraced cutting-edge technology and innovative approaches, reinforcing its
dedication to sustainable growth and pioneering business models.
Majid Invest Group engages in the real estate sector with a strategic and multifaceted approach, focusing on creating sustainable business cities and developing projects through its subsidiaries. This aligns with market demands and aims to add value to the community.
The building materials and construction division encompasses a diverse portfolio of subsidiaries that provide a comprehensive range of products and services in the sector. Currently, the company operates across various industries.
As part of its strategy to pursue steady growth opportunities, Majid Invest Group expanded its activities within the Financial Investments sector through strategic investments.
Majid Invest Group has been a leader in delivering exceptional guest experiences by collaborating with leading hotel operators around the world.
Majid Invest Group provides support for the growth of strategic portfolio companies when necessary. As the principal investment arm of the Government of Dubai, Majid Invest Group also conducts its own investment activities. In recent years, its investment strategy has centered on diversifying the portfolio by allocating capital across various asset classes, sectors, and key geographic regions, often in collaboration with external fund managers.
Portfolio companies generally expand either organically or through acquisitions, following their individual strategies.
1. Providing financial and strategic oversight of its portfolio to ensure wealth preservation and sustainable value growth. 2. Extracting value from non-core assets when appropriate. 3. Allocating capital towards new investments, either locally or internationally, to improve financial returns and drive diversification.
In the early years of Majid Invest Group’s journey, notable progress was made in achieving the first part of this mandate. The core portfolio has remained relatively stable while continuing to grow and perform well across various market cycles. More recently, the focus has shifted towards active portfolio management and strategic capital deployment, both of which are critical to the successful execution of Majid Invest Group’s mandate. As part of this strategic evolution, Majid Invest Group has placed greater emphasis on repositioning its portfolio for increased diversification and improving its potential for long-term, risk-adjusted returns.
Your email address will not be published. Required fields are marked *