Mubadala has evolved from a catalyst for Abu Dhabi’s economic diversification into a global sovereign investor of scale. We have nurtured national champions, built platforms that anchor new industries, and expanded into more than 80 markets worldwide. Generating sustainable returns are at the heart of our strategy — from investing in future industries to fostering innovation ecosystems.
Direct Investment Approach
At its core, Mubadala invests directly across private markets, deploying capital with a long-term perspective. Our partnerships with leading global investors from around the world ensure we deploy capital purposefully. Working together as a group of diverse global businesses across a single connected platform, we contribute to finding solutions to the world’s biggest challenges in a way that delivers sustainable returns and positive outcomes for generations to come. We are a sophisticated global investor with multiple different approaches to value creation.
Endowment Approach
The Abu Dhabi Investment Council (ADIC) operates through an endowment model and is the first of its kind in Abu Dhabi, and one of the largest globally. ADIC focuses on five investment portfolios: private equity, capital solutions, real assets, public markets, and secondaries. It operates across major global markets, including the United States, Europe, the United Kingdom, and Asia.
GP-Led Approach
Established in 2011, Mubadala Capital, our GP-led business, is a global alternative asset management platform investing across multiple asset classes and geographies. Through its asset management platform and strategic partnerships, Mubadala Capital combines the scale and stability of sovereign ownership with the agility and focus of a global investment firm.
Mubadala’s mandate is to deliver sustainable, risk-adjusted returns for our Shareholder. Our investment strategy is grounded in the long-term and is built off high conviction themes shaping the industries of the future.
Enterprise Risk Management (ERM) underpins Mubadala’s ability to deliver strong financial returns while safeguarding long-term value. It provides a structured framework for identifying, assessing, and managing risks across the Group in alignment with defined risk appetite and strategic objectives.
Responsible Investing strengthens Mubadala’s ability to deliver sustainable, risk-adjusted returns. By embedding sustainability considerations into every step of the investment lifecycle, from due diligence through to the stewardship of our assets, we create and preserve value and increase the resilience of our portfolio.