RISK INTEGRATED STRATEGY
MIDDLE EAST & NORTH AFRICA

"Maximizing VALUE of key ASSETS and RESOURCES"

OUR INSIGHT & NEWS

Saudi Arabia Strategic Update

A weekly newsletter with carefully selected news and commentary articles highlighting the strategic development and challenges.

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Arab Sovereign Wealth Fund Monitor

A monthly newsletter which monitors, analyzes, and forecasts Arab sovereign wealth fund activities and investment strategies.

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Arab Defense Industry Papers

A dedicated policy-oriented series focusing on the role of defense industries and defense industrial cooperation in the Middle East and North Africa.

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OUR SOLUTIONS AND SERVICES

Advisory, Analysis & Support

Verocy provides (Geo)Political & Country Risk Analysis, Portfolio Risk Assessment & Scenario Analysis, Growth Potential Assessments and Market & Project Development.

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Asset  Development Solutions

We bring the solutions for ( Econometric Portfolio and Scenario Analysis, Critical Incidents Analysis and Reporting, Mobile Incident Alerting & Notification and Critical Asset Inspection.

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Insight & News

Read and enjoy our news, articles and in-depth sector and/or country analysis written and edited by Verocy sector specialists, partners and opinion leaders.

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OUR SPECIALTIES

SAUDI ARABIA STRATEGIC UPDATE

A weekly update report featuring analysis and commentary articles on the strategic direction of Saudi Arabia. Benefit from this limited time offering and download the latest Insights and News for FREE - no registration needed!

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Arab SWF Monitor

Arab SWF Monitor is a monthly newsletter which monitors, analyzes, and forecasts investment trends across the Middle East and North Africa (MENA). The publication examines sovereign wealth fund activities and investment strategies of Algeria, Bahrain, Kuwait, Libya, Oman, Qatar, Turkey, Saudi Arabia, and the United Arab Emirates.

The increased role of Arab SWFs, such as ADIA, QIA, SAGIA and others, on the future of the MENA region, and the global markets, necessitates an indepth analysis of ongoing changes, restructuring and even emergening new giants in the market.

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WEALTH RADAR

A unique approach to econometric asset portfolio management. Simulate, analyse and report adverse effects on asset portfolios from potential geopolitical, economic or monetary shocks. 

  • Stress-testing under real-world economic scenarios
  • Hedging portfolio’s for future risks
  • Simulating human behavior
  • Comparing portfolio performance to popular indicators 
  • Gaining insight in the economy
  • Analyzing risk profiles
  • Decision-making, accountability and compliance protocol
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