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Know more on Investing Professionally in the Middle East

Awards and Accolades

Mashreq Capital was ranked in Forbes top 30 biggest asset managers in the Middle East in 2021

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News, financial insights and industry trends

14/05/2026

CNBC Arabia: Mashreq Capital’s views on how markets are navigating volatility amid evolving macro and geopolitical dynamics

Key themes discussed:
Global bond yields, geopolitical risks and market impact, MENA fixed income markets, inflation dynamics and central bank outlook, MENA fixed income opportunities amid volatility.

11/05/2026

Our views on US rates, oil markets, regional credit, and asset allocation, amid ongoing geopolitical uncertainty.

Amol Shitole, CFA, Head of Fixed Income at Mashreq Capital, appeared on Bloomberg Horizons Middle East & Africa to discuss his views. Click below to watch (27:30-33:06).

27/04/2026

ENBD secondaries "poor anchor" for pricing strategy in first Gulf postwar deal

Jack Norbury, Mashreq Capital’s Fixed Income Portfolio Manager at Mashreq Capital shares his thoughts on ENBD’s existing AT1 bond.

17/04/2026

Abu Dhabi, Qatar and Kuwait sell $7bn of bonds privately

Amol Shithole, Mashreq Capital’s Head of Fixed Income shares his thoughts on new bond issuance on public markets during March and into early April.

14/04/2026

US / Israel - Iran Conflict | Week 7 - Mashreq Capital's Geopolitical and Market Commentary

This webinar provided an updated market commentary, enhanced scenario analysis, and an assessment of potential market impact under each scenario.
Watch the webinar recording here (Intended for Professional Investors only).

08/04/2026

US / Israel - Iran Conflict | Week 6 - Mashreq Capital's Geopolitical and Market Commentary

This webinar featured an updated market commentary, refined scenario analysis, and the potential market impact under each case.
Watch the webinar recording here (Intended for Professional Investors only).

31/03/2026

US–Israel–Iran Conflict | Week 5 – Mashreq Capital Geopolitical & Market Commentary

Global and MENA‑focused macro insights, with updated risk positioning and scenario implications amid escalating conflict.
(Intended for Professional Investors)

24/03/2026

US / Israel - Iran Conflict - Mashreq Capital's Geopolitical and Market Commentary

This webinar featured an updated market commentary, refined scenario analysis, and the potential market impact under each case.
Watch the webinar recording here (Intended for Professional Investors only).

17/03/2026

US / Israel - Iran Conflict - Mashreq Capital's Geopolitical and Market Commentary

This webinar featured an updated market commentary, refined scenario analysis, and the potential market impact under each case.
Watch the webinar recording here (Intended for Professional Investors only).

11/03/2026

Arabian Business

Mashreq Capital charts the course for three different scenarios of the war in Middle East.

10/03/2026

US / Israel – Iran Conflict: Mashreq Capital’s Geopolitical and Market Commentary

This webinar featured an updated market commentary, refined scenario analysis, and the potential market impact under each case.
Watch the webinar recording here (Intended for Professional Investors only)

1/03/2026

Forbes Middle East Commentary

What does the UAE’s exit from the J.P. Morgan Emerging Market Bond Index mean for Gulf debt? Jack Norbury, Fixed Income Portfolio Manager at Mashreq Capital, shares his insights.

13/02/2026

Forbes Middle East Top Advisors Summit

Philip Philippides, CEO of Mashreq Capital, shared key perspectives on Strategic Asset Allocation (SAA) in building resilient, well-diversified portfolios and achieving sustainable long-term investment outcomes.