Our mission is to facilitate investors from across the world, to invest into assets, focused on the Gulf Cooperation Countries (GCC) - United Arab Emirates, Saudi Arabia, Qatar, Oman, Kuwait and Bahrain.
The GRIP multi-asset portfolio - the first of its kind in the region, optimises the risk-reward ratio with single access investment route to diversification, eliminates intermediary fees and enhances investment returns.
The GRIP portfolio consists of; capital markets (Equity, Bonds & Sukuk), real estate, commodities, private equity and alternative investment assets.
GRIP is a proprietary investment firm, leveraging the power of its dual-link blockchain based management system.
This key infrastructure allows all investor-shareholders, to participate and orchestrate business strategies to maximise returns, with a single-minded focus.
In addition, GRIP investors are enabled ease of access to liquidity and monetisation of investment capital.
The GCC region is home to some of the world’s fastest growing economies, major producers of oil and gas, highest spending into infrastructure development and a youthful population - an ideal long-term investment destination.