Our investment portfolio comprises interests in more than 100 companies across multiple sectors, industries and geographies, either directly or indirectly through ownership of shares. This diverse portfolio reflects the work we do to create value, economic impact and linkages for Malaysia. Approximately 55% of our Realisable Asset Value (RAV) by geographic exposure is in Malaysia, with the remaining 45% located overseas.
INVESTING IN GROWTH AND DEVELOPMENT
SELECTED PORTFOLIOS OF COMPANIES
© 2017 Khazanah Nasional Berhad (275505-K)