
SICO stands among the largest GCC and MENA asset managers, delivering returns that surpass regional benchmarks.
With strong on-the-ground expertise from dedicated teams in Bahrain and Saudi Arabia, we deliver conventional and Sharia-compliant solutions across equities, money markets, fixed income, and private real estate, including Bahrain’s first listed REIT. We also manage external funds for leading regional financial institutions — a testament to the trust SICO has earned in the market.
Our strength lies in a disciplined investment approach that has demonstrated resilience through market downturns. This foundation allows SICO to deliver sustainable results for a wide range of investors, including institutions, sovereign wealth funds, family offices, and private banks.
At SICO, we put our clients’ interests at the center of every decision, guided by a strong commitment to transparency and accountability. In practice, this means prioritizing consistent performance, with a focus on delivering risk-adjusted returns and protecting capital through changing market conditions.
SICO’s in-house investment team monitors over 200 entities across the GCC and MENA, providing portfolio managers with a steady flow of insights and actionable ideas. By leveraging this added value, along with timely intelligence from our research, trading, and other teams, we remain one step ahead in making informed investment decisions.
This unique combination of customized research access, trading expertise, and active oversight from our risk management department enables SICO to safeguard portfolios, identify high-quality opportunities early, and ensure close alignment with each client’s objectives.