Corporate Directory
Our Leadership
We are responsible to our shareholders through a board of directors. Our operations are managed through the senior management team
Board of Directors
Kingdom of Bahrain Senior Management Team
H.E. Dr. Zakaria Ahmed Hejres * Mr. Hisham Abdulrazzaq Al-Razzuqi
Chairman of the Board Chief Executive Officer
Chief Executive Officer
Al Watan for Publishing & Mr. Rashid Bin Rasheed
Distribution BSC Deputy General Manager &
Head of Finance & Administration
H.E. Mr. Khalid A. Al-Bassam ** ***
Chairman
Bahrain Islamic Bank * Member of the Executive Committee
** Member of the Audit Committee
Kingdom of Saudi Arabia *** Member of the Risk Management
H.E. Mr. Khalid S. Al-Khattaf * *** Committee
Vice Chairman of the Board &
Chairman of the Executive Committee
Chief Finance Officer & Managing Director
Nomura Saudi Arabia >> View Management
H.E. Mr. Turki Bin Ibrahim Al-Malek **
Chairman of the Audit Committee
Chief Operations Officer
Saudi Arabian Investment Co. (Saudi Sanabil)
Sultanate of Oman
H.E. Mr. Darwish bin Ismail bin Ali Al-Bulushi *
Minister Responsible for Financial Affairs
Ministry of Finance
H.E. Mr. Abdul Kader Askalan ** ***
Chief Executive Officer
Oman Arab Bank
State of Qatar
H.E. Shaikh Fahad Faisal Al-Thani *
Deputy Governor
Qatar Central Bank
H.E. Dr. Hussain Al-Abdulla ** ***
Board Member - Executive
Qatar Investment Authority
State of Kuwait
H.E. Mr. Bader Ajeel Al-Ajeel * ***
Chairman of Risk Management Committee
Executive Director- General Reserve Sector
Kuwait Investment Authority General Reserve Fund
H.E. Mr. Faisal M. H. Boukhadour **
Advisor in the Diwan of H.H. the Prime Minister
United Arab Emirates
H.E. Mr. Faisal Al-Mansouri * ***
Director of Revenues Department
Ministry of Finance
H.E. Mr. Saeed Rashid Al-Yateem **
Assistant Undersecretary of Budget and Revenue
Ministry of Finance
Explore Our Investments
| FUNDS' PERFORMANCE | ||
| Gulf Bond Fund | ||
| Date | : | 17 Feb 2012 |
| NAV per Share | : | US$ 13.05 |
| Total Assets | : | US$ 153 million |
| Gulf Islamic Fund | ||
| Date | : | 16 Feb 2012 |
| NAV per Share | : | US$ 6.10 |
| Total Assets | : | US$ 10 million |