Anamla Investments is an innovative investment company with a fresh new approach to both traditional and emerging markets.
Our team has created a diversified portfolio that presents the optimal balance between the current return on investment and future growth.
Established in 2008, Anamla is Led by a strong management and an impressing board-of-directors. Anamla is poised for the right investments.
Anamla
Anamla Investments focuses on a variety of investments.
The team’s unique experience and insight allows the company to discover new opportunities and reveal its true potential.
2008
In 2008 Anamla started investing in Commercial real estate in the United Kingdom.
In 2009 Anamla Investments bought fifty Percent of Invest Realty Company. IRC is a well renowned real estate company based in London with HRH Tengku Dato Seri Baderulzaman as their Chairman.
2011
In 2011 MASO&CO ( Mohammed bin Ahmed bin Saleh AlOthaim & CO) bought Anamla Investments, to make it part of the MASO&CO umbrella. MASO&CO is owned by the AlOthaim family, It is a Saudi Arabian company which is part of the Othaim International Group. The AlOthaim family is known to be one of the most influential families in the Kingdom of Saudi Arabia.
MASO&CO is an investment company that has been investing in all kind of projects, MASO&CO Invest in projects such as, recycling, Shopping centres, Properties, Latest technology, and it also invest in people.
2012
In 2012 Anamla Investments started to diversify into other investments, from real estate to construction, education, and commodities. Anamla Investment has invested in a 100 million SAR educational fund to build schools and take hold of the next generation which will be running the future.
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Anamla Investment is adopting MASO&CO business strategies in investing in SME’s ( Small & Medium enterprises).
In 2013 Anamla Investment bought fifty Percent of a Saudi Arabian Company.
The Saudi Company KMCO is a small company that invests in IT technology.
2016
In 2016, Anamla Investment begun investing in Oil&Gas with a joint venture with ITS Arabia. ITS had successfully provided revamping & rehabilitation services in Algeria from 2011 to 2014 which at contract value is around $80 million dollars. Starting from the evaluation of the remaining lifetime for the major equipment, we utilized module fabrication to minimize the shut down period and maximize our client's profit.
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2017
In 2017, Anamla investment invested in Blockchain and crypto, specifically the first Saudi blockchain and crypto fund. Vertex. The market is a Peer-to-Peer platform (P2P) for Cryptocurrencies, allowing their customers to exchange conveniently and any currency easily into Crypto and back. The concept of Peer-to-Peer is deeply embedded in Cryptocurrencies such as Bitcoin only making it more patent, that P2P trading is the best approach when trading with Cryptocurrencies. We have made it our challenge, to develop and continuously enhance our product to have a revolutionary and innovative way of trading Peer-to-Peer.
All of our software is in-house developed and maintained, with the exception of the user wallets, which are stored with a third party and protected with multi-sig, safe away from our live environment. Vertex Market has only one mission and that is to have the best Peer-to-Peer trading platform and with its’ existence, to bring more people into the Crypto space.
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2017
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2011
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2016
HISTORY
Our Challenges
Our Vision
Our Mission
Our Methodology
Information moving fast
Company information travels faster than the speed of light due to the progression in social media, this could lead to people finding out unreleased news about the company before it is confirmed and shared with the media.
Finding the right investment
Finding the right investment before the profile spreads around these days is tricky as people have stopped reading newspapers and have begun relying on the speed of social media. So it is up to our team to get to the investment and grasp all information needed before it goes on a media frenzy.
Our Challenges
Our Vision
Our Mission
Our Methodology
Our vision is to be a leading investment company, providing a platform for world-class investment practices through an active approach carried out by our experienced management team.
Our Challenges
Our Vision
Our Mission
Our Methodology
Our mission is to provide our clients with a portfolio of products that capture superior long-term returns throughout all market cycles by executing our proven commitment to value-oriented, fundamental research and disciplined portfolio management. In order for us to be successful in today’s world of rapid dissemination of information, abundant capital, and fierce competition, we must target investment opportunities where we can develop an edge through our rigorous, company-specific research process.
At Anamla Investment, we seek to understand a diverse spectrum of investment alternatives and view them from a global perspective. This includes worldwide investment into real-estate towards construction, education, and commodities. We strive to achieve these goals through a team of passionate professionals who are bound together by a common culture of mutual respect, integrity, and work ethic built on creative thinking and leadership.
Our Challenges
Our Vision
Our Mission
Our Methodology
We are different than other investment companies, we work closely with investors to manage risk and optimise returns. We don't use arbitrary pie charts and random lists of managers to invest, we are the single point of contact for our clients' funds since we handle the investment management.
The core of our methodology is based around one simple, yet complex approach: invest in strength . We use the path of least resistance towards discovering opportunities and follow the trends of the market.
Why invest in sectors of the market that aren't performing as strongly as others?
We rank sectors, asset classes, and investments as to the strength of their price action, then we invest accordingly. We invest in products that we see have a high success rate and we take a distribution for all GCC countries.
Our approach closely monitors the risk factors of taking on a product. We diversify our portfolios, but only into the top-performing sectors. We do this by using a relative strength analysis ; this is a price comparative analysis of a specific investment's performance vs. the performance of the overall market.
Our way of approaching things is pretty amazing.