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2025-09-17 17:07:11

[Hundreds of billions of dollars bet on technology, alternative credit booms again] ⑴ The Abu Dhabi Investment Authority (ADIA) disclosed that the sovereign wealth fund significantly increased its investments in specific asset classes, particularly alternative credit, in 2024. This strategy was driven by the second consecutive year of "significant returns" in risky assets, demonstrating that the fund is broadening its exposure to specific asset classes after gaining a deeper understanding of the risk-return dynamics of its portfolio. ⑵ ADIA's 20-year and 30-year annualized returns in 2024 were 6.3% and 7.1%, respectively, representing slight fluctuations from 6.4% and 6.8% in 2023, but overall solid performance. Fund management specifically noted that its dynamic approach to alternative credit investments has successfully capitalized on the growing market demand for alternative and flexible financing, making the asset class a key focus for its private equity, real estate, and infrastructure teams. ⑶ Looking ahead to 2025, ADIA anticipates continued complex global economic conditions, with stable or slightly rising inflation and the potential for further concentration in the US stock market, which will pose challenges for fund managers. To this end, ADIA will continue to bet on the technology sector and emphasize the effective use of data to cope with the ever-changing investment environment, in order to achieve sustained growth in a complex and changing macroeconomic context.

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