Investing to deliver sustainable value for Malaysians

Khazanah Nasional Berhad is the sovereign wealth fund of Malaysia. We seek to deliver sustainable economic and social benefits for the nation that contribute towards Advancing Malaysia.

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Four Strategic Imperatives to Deliver Our Purpose

Our Strategic Imperatives guide our thoughts and actions, providing steer towards fulfilling our purpose as Malaysia’s sovereign wealth fund and a Government-Linked Investment Company (GLIC).

How We Invest

We invest in companies and assets across multiple sectors and geographies.

Learn more about how we invest through our Investment Policy Statement.

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Active Corporate Player

Dana Impak

Global Investor

6.2%

6-yr Rolling
NAV TWRR

The Investments Portfolio generated a six-year rolling (annualised) time-weighted rate of return (“TWRR”) of 6.2% against the long-term target of Malaysian Consumer Price Index (CPI).

24.6%

2024
NAV TWRR

Overall, the Developmental Assets recorded a RAV time-weighted rate of return (“TWRR”) of 12.1% in 2023, against the target rate of return of the 10-year Malaysian Government Securities (“MGS”) yield on a five-year rolling basis.

RM140.9b

2024 RAV

The value of the Investments Portfolio as measured by Realisable Asset Value (“RAV”) stood at RM140.9 billion as at 31 December 2024. The objective of the Investments Portfolio is to achieve risk-adjusted returns on a long-term basis, preserve and grow the long-term value of our assets as well as diversify sources of revenue for the nation.

Note: All figures are correct as dated 31 December 2024

Building Capacity and Vibrant Communities

We deliver social value across 6 main pillars

We continue building on our efforts over the last decade to better deliver societal value for Malaysians, ensuring greater inclusivity and equality via our internal activities and related entities below:

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Khazanah’s Insights

Stay updated and remain aware of the latest developments.

Press Releases