
Five Core Strengths
of AL AN HOLDINGS
1
Growth
Growth
We capture the rapid growth of Middle Eastern markets and convert it into long-term value.
Driven by national strategies and large-scale projects such as Vision 2030, the UAE and Saudi Arabia continue to expand as global growth engines.
AL AN HOLDINGS invests directly in these high-growth opportunities.
2
Liquidity
Liquidity
We maintain high liquidity by focusing on publicly listed equities and major digital assets.
By constructing a portfolio centered on highly tradable assets, we ensure transparency and market-based valuation.
3
Diversification
Diversification
We achieve risk-adjusted returns through strategic diversification across regions and asset classes.
Our portfolio spans the UAE, Saudi Arabia, the United States, and digital assets such as BTC and ETH.
This approach balances growth potential with stability.
4
Transparency
Transparency
We ensure a high level of transparency through ADGM registration, Big Four audit oversight, and independent third-party custody.
Registered in Abu Dhabi Global Market, our structure meets institutional standards for transparency, asset protection, and investor confidence.
5
Tax Efficiency
Tax Efficiency
Our structure is designed to maximize tax efficiency within the UAE’s favorable tax environment.
Capital gains and dividend income received by AL AN HOLDINGS are not subject to taxation in the UAE.
Please note that investors are subject to the tax regulations of their respective jurisdictions.
Services
Investment Focus Areas
AL AN HOLDINGS invests in assets that combine liquidity and growth potential across global markets, with a focus on the Middle East.
To maximize diversification and capture market-specific growth opportunities, capital is allocated across the following key categories.

UAE Equities
UAE Equities
We invest selectively in leading companies listed in the UAE, one of the most sophisticated capital markets in the Middle East.
Companies listed on the Dubai Financial Market, DFM, and the Abu Dhabi Securities Exchange, ADX, span a wide range of sectors, including logistics, real estate, financial services, telecommunications, and energy, with strong representation from government-linked entities.
Supported by government-led IPO initiatives and the liberalization of foreign ownership regulations, these markets are well positioned for stable and sustained growth.





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Saudi Equities
Saudi Equities
We capitalize on the momentum of Vision 2030, driven by economic diversification and a strong IPO pipeline.
The Saudi Exchange, Tadawul, is undergoing large-scale transformation led by national initiatives. Investment opportunities extend beyond oil, spanning sectors such as technology, renewable energy, and financial services.
AL AN HOLDINGS pursues long-term value creation through thematic investments aligned with national strategies.

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US Growth Stocks
US Growth Stocks
We integrate innovation and growth from the world’s largest technology market into our portfolio.
Through investments in leading companies across AI, cloud computing, semiconductors, and e-commerce, we participate in global growth trends.
With low correlation to Middle Eastern markets, this allocation enhances geographic diversification and strengthens portfolio resilience.
Selective use of options strategies further supports the optimization of risk-adjusted returns.




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Digital Assets
Digital Assets
We maintain a selective allocation to digital assets as an emerging asset class.
While digital assets exhibit higher market volatility, they play a role in portfolio diversification and short-term opportunity capture.
AL AN HOLDINGS focuses on maintaining liquidity through stablecoins such as USDT, while balancing capital preservation with investment efficiency.









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BUSINESS MODEL
A Proprietary Capital Structure and Investment Strategy Fully Aligned with Investors

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Capital is raised from investors through preferred equity and loan notes.
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Management retains common equity only, with returns linked exclusively to capital appreciation.
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Deployed capital is allocated to the following high-growth sectors:
• UAE Equities: Government-backed enterprises and unicorn-stage companies
• Saudi Equities: Public companies aligned with Vision 2030 initiatives
• US Growth Stocks: High-growth companies listed on NASDAQ
• Digital Assets: Major cryptocurrencies such as BTC and ETH, as well as Web3 projects with real-world utility
A Compensation Structure Fully Aligned with Shareholders
AL AN HOLDINGS operates with a structure in which management holds only common equity, with returns solely linked to increases in equity value.
There are no management fees or performance fees, ensuring full alignment of incentives with investors.
This approach enables long-term value creation while maintaining a transparent, shareholder-return-focused investment model.
A Low-Cost and Highly Transparent Investment Structure
AL AN HOLDINGS adopts a simple and transparent structure by directly holding equity in operating companies.
We do not utilize leverage or derivatives, and maintain operating costs below 0.5 percent of AUM.
This approach balances efficiency and reliability while maximizing returns in international asset management.
Institutional-Grade Governance and Regulatory Compliance
AL AN HOLDINGS is based in ADGM and operates under an internationally recognized governance framework.
We implement NAV oversight by Big 4 firms, third-party custody, and Tier 1 fund administration structures.
From the Middle East to global investors, we deliver asset management with a high level of transparency and trust.
Investment Strategy
Strategic Investment Framework
A diversified investment strategy centered on the Middle East and aligned with long-term national transformation initiatives.
AL AN HOLDINGS’ investment strategy is built upon the following three core pillars.




