Institutional Private Fund

Long-term, disciplined capital for resilient assets in MENA and Türkiye.

We deploy flexible, long-duration capital into high-conviction opportunities across Türkiye and the Middle East. Our disciplined, research-driven approach focuses on identifying resilient assets and building durable strategic partnerships for long-term value creation.

About Us

[Fund Name] is a regionally-focused private investment firm dedicated to generating superior, risk-adjusted returns for our institutional partners across the Middle East and Türkiye. The fund was established by a group of seasoned investors and entrepreneurs.

Our Philosophy

We combine strategic vision with prudent risk management. Diversification across asset classes and geographies helps us build resilient portfolios that balance growth with stability.

Our Approach

  • Asset-Backed: Long-term, income generating investments
  • Strategic Growth: Established businesses seeking expansion capital
  • Alternatives: Capital solutions for specific market conditions

Our Expertise

Our team brings multi-disciplinary experience across finance, technology, and MENA and Eurasian markets—enabling rigorous evaluation and active support beyond capital.

Investment Strategy

Our approach is anchored on capital preservation and disciplined risk management, securing predictable income streams while actively seeking strategic growth opportunities.

Capital Preservation & Income Stability

Our core principle involves safeguarding principal through meticulous asset selection and risk control.

  • Focus on essential services and established infrastructure assets.
  • Rigorous due diligence to validate long-term contractual cash flows.
  • Disciplined risk mitigation through conservative leverage and strong governance.

Dynamic Diversification & Active Management

We maintain a flexible, actively managed portfolio to capture value across various market cycles.

  • Precious Metals: A core holding for capital preservation and a hedge against systemic risk.
  • National Stock Exchange (Bourse): Strategic participation in high-growth, listed national assets.

Sectors of Interest

Targeting essential and resilient sectors across MENA and Türkiye to maximize long-term growth and stability.

Energy

Power generation, distribution and energy transition projects.

Infrastructure

Transportation, utilities and social infrastructure assets.

Fintech

Financial platforms, payment rails and fintech infrastructure.

Logistics

Warehousing, supply chain and distribution networks.

Healthcare

Essential services and health infrastructure investments.

Renewables

Solar, wind and other low-carbon energy assets.

Financials

Our capital base has expanded over time while our portfolio mix adapts to dynamic regional market conditions.

Illustrative, unaudited figures. Not indicative of future results.

Investment Criteria & Partnership

We focus on established assets and experienced teams with a clear path to generating predictable, long-term returns.

Investment Criteria

  • Predictable cash flows / offtake certainty
  • Independent legal & technical due diligence
  • Clear exit routes and defined horizons

Collaboration Models

  • Majority/minority equity or SPV partnerships
  • Co-investment with financial institutions
  • Emphasis on transparency & compliance

What We Seek

  • Experienced teams with delivery track record
  • Balanced, sustainable risk/return
  • Scalable opportunities within clear regimes

Contact Us

We welcome inquiries from potential partners and investors.

investor.relations@fundname.com +90 212 000 1122

Regional Headquarters

Level 10, Finance Tower, Istanbul, Türkiye

Meetings by appointment only.

Call Direct