Khalid Alkrewi
About
Khalid Alkrewi is from Saudi Arabia. Khalid is currently CEO & MD at SA'AF CAPITAL, located in Riyadh, Saudi Arabia. Khalid also works as Board Member at Bcare | بي كير للتأمين , a job Khalid has held since Oct 2023. In Khalid's previous role as a VP- Head of Passive Investment at Albilad Capital البلاد المالية, Khalid worked in until Jun 2026. Prior to joining Albilad Capital البلاد المالية, Khalid was a Senior Fund Manager at Yaqeen Capital and held the position of Senior Fund Manager at Riyadh, Saudi Arabia. Prior to that, Khalid was a Fund Manager at Yaqeen Capital, based in Riyadh, Saudi Arabia from Sep 2020 to Nov 2022. Khalid started working as Assistant Fund Manager at FALCOM Financial Services in Saudi Arabia in Aug 2019. From Jan 2017 to Jul 2019, Khalid was Portfolio Manager Assistant at The Arab Investment Company, based in Riyadh, Riyadh Region, Saudi Arabia. Prior to that, Khalid was a Investment Associate at The Arab Investment Company, based in Al-Riyadh Governorate, Saudi Arabia from Jan 2017 to Sep 2017. Khalid started working as Investment Specialist at Agriculural Development Fund in Saudi Arabia - Riyadh in Sep 2016.
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Khalid Alkrewi's current jobs
Khalid Alkrewi's past jobs
- Develop and maintain in depth knowledge TAIC' s Current portfolio company investment. - Monitor TAIC's public equity investment positions and report on update changes. - Advice TAIC's management on appropriate equity investment through conducting stock valuations, due diligence, news and etc.. - Contribute with the team on IP, Projects valuations.
- Analyzed existing portfolio holdings and identified new investment opportunities. - Assessed the financial viability of existing portfolio and new opportunities using relative valuation, DCF Valuation & beta valuation.
• Portfolio Management & performance review • Compliance and Reporting • Manager Selection • Financial Statements & Ratio Analysis • Relative Valuation, DCF Valuation & Beta Valuation • Investment Analyses and investment valuation (S.D, IRR. PVIFA / FVIFA, Cash Flow,). • Assess and predict financial risks and returns. • Asset and Risk Allocation • Investment Planning and oversight, including strategic and tactical asset allocation
Investment Management: - Study the investment potential alongside with doing the financial analysis. - Due diligence , follow-up with portfolios custodian. - Analyze companies Balance Sheet, Cash flow, Income Statement. - Monitoring Portfolios, Investment Process.