Khazanah’s Portfolio

Khazanah's Portfolio

Khazanah’s overall portfolio is divided across four: Investments Portfolio, Dana Impak Portfolio, Developmental Assets, Special Situations

01 /

Investments Portfolio

RM 0 billion

investments with commercial returns expectations for both domestic and global investments, constituting PIPEs and Public Malaysia, Private Markets, Public – EM, Public – DM, and Real Assets

(IP RAV: RM 135.8bn; NAV: RM 88.2bn YTD 31 July 2025)

02 /

Dana Impak Portfolio

RM 0 billion allocated
investments with clearly defined targeted economic development outcomes

e.g. VC ecosystem (Jelawang Capital), MTC, semiconductor ecosystem

03 /

Developmental Assets

RM 0 billion RAV

long-term developmental investments with the potential to deliver economic impact

e.g. IVP, Iskandar Investments Berhad

04 /

Special Situations

assets which require turnaround in terms of profitability and sustainable operating cash flows

i.e. MAGB, DRH

Across our portfolio, both domestic and global, Khazanah conducts its role as a responsible shareholder – ensuring value creation as well as value preservation and stewardship for our assets alongside shareholder activism especially in the domestic market, whilst selectively providing capital support for our Malaysian assets.

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