KHI’s financial assets are managed by a dedicated team of investment professionals. On a selective basis, the Group is open to opportunities created by economic cycles. It currently has investments in Europe, Asia, the Americas and Australia.

The Group’s financial assets include blue chip equities, specialised investment funds, fixed income and other investment grade papers. Its multi-currency portfolio maintains a balance between fixed income and equities.

KHI’s portfolio of financial assets provides the Group with a high level of liquidity. This ensures the necessary flexibility to respond quickly to real estate and direct investment opportunities as they arise.