Saxon Capital Investment L.L.C currently manages over USD 1.5 billion in assets. The company has a disciplined investment process that aims to generate stable returns over long term within established risk parameters. The Investment unit plays a central role in the process, with responsibility for developing, maintaining and periodically reviewing the portfolio mix of multi-asset classes and sub-categories. It also identifies medium-term tactical opportunities for generating returns in excess of those achieved by the long-term policy portfolio while maintaining target risk profile. Capitalizing on market corrections, Saxon Capital Investment L.L.C equities and fixed income vehicle looks to diversify the portfolio and secure strong investment returns. With our pulse on the GCC region where we benefit from home-base advantage, we possess the knowledge and networks to quickly identify high yield investment opportunities and deploy/recycle capital strategically for new investments and acquisitions. By making continuous enhancements, Saxon has built an investment strategy that is not simply based on asset class or geographic allocations, but one that is both robust and increasingly focused on return drivers.