Profile
Saud Saleh Al-Saleh is currently a Non-Executive Director at Al Baraka Group BSC and an Independent Non-Executive Director at ABG Sukuk Co. Ltd. Previously, he held positions such as Chairman at SAIB BNP Paribas Asset Management Co. Ltd., Vice Chairman at American Express Saudi Arabia (C) JSC, and Chairman at Maad International Co. He also served as a Director at various organizations including The General Organization for Social Insurance, Mediterranean & Gulf Insurance & Reinsurance Co., Yanal Finance Co, Saudi Arabia General Investment Authority, Gulf Real Estate Co., Saline Water Conversion Corp., Amlak International for Real Estate Financing, Higher Education Fund, Boeing Industrial Technology Group LP, and The Saudi Investment Bank.
Additionally, he was the General Secretary of the Supreme Economic Council and a Trustee at Riyadh Economic Forum.
Mr. Al-Saleh obtained a graduate degree from the University of Rhode Island and an undergraduate degree from Portland State University.
Latest news about Saud Al-Saleh
Saud Al-Saleh active positions
| Companies | Position | Start |
|---|---|---|
| AL BARAKA GROUP B.S.C. | Director/Board Member | - |
ABG Sukuk Co. Ltd.
ABG Sukuk Co. Ltd. Finance/Rental/LeasingFinance Operates as a special purpose entity | Director/Board Member | - |
Former positions of Saud Al-Saleh
| Companies | Position | End |
|---|---|---|
| EMAAR THE ECONOMIC CITY | Director/Board Member | 2020-09-24 |
| ALBARAKA BANK EGYPT S.A.E. | Director/Board Member | - |
| THE SAUDI INVESTMENT BANK | Chief Executive Officer | - |
Gulf Real Estate Co.
Gulf Real Estate Co. Real Estate DevelopmentFinance Provides real estate investment, development and management services | Director/Board Member | - |
SAIB BNP Paribas Asset Management Co. Ltd.
SAIB BNP Paribas Asset Management Co. Ltd. Investment ManagersFinance SAIB BNP AMC is an active, research-based manager which aims to achieve superior risk-adjusted return relative to a benchmark by using active strategies of country allocation, sector rotation, and stock picking based on fundamental, quantitative, and technical indicators. The firm manages various funds across asset classes and geographies, including Saudi Arabia and the GCC countries. They select stocks based on a combination of top-down and bottom-up approaches backed by in-house fundamental, technical, and quantitative research. SAIB BNP AMC believes that financial market inefficiencies can be exploited by applying active management strategies through asset allocation, sector rotation, stock picking, country allocation and timing. Their Fund of Fund portfolios hold a portfolio of other investment funds rather than investing directly in shares, bonds or other securities. They invest in externally and internally managed funds and generally diversify portfolios to reduce volatility. The asset mix is flexible to adapt to changing market conditions. The firm continuously compares their risk-adjusted performance with the benchmark. Any abnormal performance in return is quickly re-analyzed in terms of risk-adjusted performance. Some of the risk measures they use for funds and portfolios include Sharpe Ratio, Sortino Ratio, Treynor Ratio, Information Ratio and Value at risk. | Chairman | - |
Training of Saud Al-Saleh
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 21 |
|---|---|
University of Rhode Island
University of Rhode Island Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Portland State University
Portland State University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
The General Organization for Social Insurance
The General Organization for Social Insurance Investment ManagersFinance Profile Unavailable. | Finance |
The Saudi Investment Bank
The Saudi Investment Bank Regional BanksFinance Provides commercial and retail banking services | Finance |
Al Baraka Bank Egypt
Al Baraka Bank Egypt Regional BanksFinance Provides banking services | Finance |
Al Baraka Group BSC
Al Baraka Group BSC Major BanksFinance Provides retail, corporate, treasury and investment banking services | Finance |
Emaar, The Economic City
Emaar, The Economic City Real Estate DevelopmentFinance Engages in property development and real estate activities | Finance |
Mediterranean & Gulf Insurance & Reinsurance Co.
Mediterranean & Gulf Insurance & Reinsurance Co. Multi-Line InsuranceFinance Provides medical, motor and property insurance and reinsurance services | Finance |
Yanal Finance Co
Yanal Finance Co Finance/Rental/LeasingFinance Provides medium term asset financing for small to medium size enterprises | Finance |
SAIB BNP Paribas Asset Management Co. Ltd.
SAIB BNP Paribas Asset Management Co. Ltd. Investment ManagersFinance SAIB BNP AMC is an active, research-based manager which aims to achieve superior risk-adjusted return relative to a benchmark by using active strategies of country allocation, sector rotation, and stock picking based on fundamental, quantitative, and technical indicators. The firm manages various funds across asset classes and geographies, including Saudi Arabia and the GCC countries. They select stocks based on a combination of top-down and bottom-up approaches backed by in-house fundamental, technical, and quantitative research. SAIB BNP AMC believes that financial market inefficiencies can be exploited by applying active management strategies through asset allocation, sector rotation, stock picking, country allocation and timing. Their Fund of Fund portfolios hold a portfolio of other investment funds rather than investing directly in shares, bonds or other securities. They invest in externally and internally managed funds and generally diversify portfolios to reduce volatility. The asset mix is flexible to adapt to changing market conditions. The firm continuously compares their risk-adjusted performance with the benchmark. Any abnormal performance in return is quickly re-analyzed in terms of risk-adjusted performance. Some of the risk measures they use for funds and portfolios include Sharpe Ratio, Sortino Ratio, Treynor Ratio, Information Ratio and Value at risk. | Finance |
Saudi Arabia General Investment Authority
Saudi Arabia General Investment Authority General GovernmentGovernment Government agency supporting industrial development | Government |
Gulf Real Estate Co.
Gulf Real Estate Co. Real Estate DevelopmentFinance Provides real estate investment, development and management services | Finance |
Saline Water Conversion Corp.
Saline Water Conversion Corp. General GovernmentGovernment Operates water treatment plants across Saudi Arabia | Government |
Supreme Economic Council | |
Amlak International for Real Estate Financing
Amlak International for Real Estate Financing Real Estate Investment TrustsFinance Provides real estate financing services | Finance |
Higher Education Fund | |
American Express Saudi Arabia (C) JSC
American Express Saudi Arabia (C) JSC AirlinesTransportation Provides air transportation services | Transportation |
Maad International Co. | |
Riyadh Economic Forum | |
ABG Sukuk Co. Ltd.
ABG Sukuk Co. Ltd. Finance/Rental/LeasingFinance Operates as a special purpose entity | Finance |
Boeing Industrial Technology Group LP |
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