Global Investor

As a global investor, Khazanah monitors opportunities across public equity, private markets and real assets to grow our portfolio for the long term.

These investments strengthen our financial position and enhance our ability to fund national development through our dual mandate. With offices across Asia, Europe, and North America, we maintain proximity to key markets, innovation clusters and co-investment networks.

Our International Presence

We align our investments with global megatrends and emerging technologies. This supports our twin goals of portfolio growth and facilitating the flow of knowledge, capital and investment opportunities into Malaysia.

To support sustainable generational returns1

Public Markets : Global​

0 %

Public Markets : Global​

0 %

Real Assets

0 %

Geographical Exposure as at 31 Dec 2023

1.5-year Rolling RAV TWRR by Asset Class As of 31 Dec 2023

New York City
Istanbul
Mumbai
Shanghai
Malaysia

To support sustainable generational returns 1

Investments Portfolio RAV1

RM 0 b

RM14.7b

2023: RM126.2b

2024 NAV TWRR

0 %

2023: 5.7%

6Y Rolling NAV TWRR
(Long-Term Target: CPI + 3%)

0 %

Relationships with global partners drive deeper collaboration and knowledge transfer​

Knowledge of peers’ Impact Measurement Frameworks helped develop our SEMARAK framework, enabling us to qualify the impact of our investments beyond financial returns​. Speakers at the Khazanah Megatrends Forum, sharing their experience and knowledge to Khazanah & Corporate Malaysia​

Capturing opportunities to attract foreign investment flows to Malaysia​

Partnerships that jointly facilitate and establish further opportunities for foreign parties to invest in Malaysia, enhancing our economic strength and resilience

What are you looking for