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By practicing a cautious approach to risk management we have forged solid partnerships with international specialists in each asset class. By doing this, Faisal Private Bank is able to maintain a constant flow of investment opportunities that are ethical, innovative and diversified.

During the last five years, our investment, asset management and legal teams have concentrated on developing and strengthening a unique model of international real estate investment products. Our experts are able to penetrate new markets whilst continuing to invest in other key markets so that we can continue to provide our investors with returns above the market average but for an equivalent risk profile.

Today, Faisal Private Bank is not only active in niche real estate markets (such as Eastern Europe) but is active in small cap equities in Asia and Japan, in specialized sectors such as carbon certificates and in the modern art market, among others.

Risk management is an asset


Investment risks
are minimized through a well documented underwriting process and methodology. The Chief Executive supervises the investment process which is then formally approved by the Bank’s management. Following high standards of governance applicable to the banking sector, all investments above a certain threshold are approved by our Board of Directors.