Global markets in 2024 were a study in contrasts, in which economic, earnings, and technology-related optimism propelled risk assets to their second consecutive year of significant gains, even as geopolitical and structural risks mounted.
* The above denotes long-term strategy portfolio ranges within which allocations can fluctuate; hence, they do not total 100%.
* As a matter of practice, SWF does not invest in the UAE.
SWF has a highly diversified portfolio that spans geographies, asset classes and asset types, with the objective of generating consistent, long-term returns throughout market cycles.
Over the past decade, SWF has placed a strong emphasis on building internal agility to successfully navigate an ever-changing and unpredictable global investment landscape.
The articles below provide insights into how some of SWF’s core activities have evolved in recent years, in line with its total portfolio management mindset, and what lies ahead.
SWF has robust governance standards with clearly defined roles and responsibilities that ensure accountability.
For further details regarding SWF's governance, please visit the SWF website: www.sw-fund.com/en/investments/governance
Download the full 2024 Review PDF. It contains the annual overview of all our activities and performance, including our Managing Director’s Letter, Operational Review and more detailed breakdowns by asset class.