Long-term portfolio allocation strategy of the ADIA in 2024, by asset class
The portion of assets allocated to cash in the portfolio of the Abu Dhabi Investment Authority (ADIA) was the only security type to remain stable, having a singular value of 10 percent. Often, portfolios have a certain amount of its assets liquid, this portion may remain unchanged despite market fluctuations. Developed equities comprised the largest portion of the ADIA portfolio, with a maximum possible asset allocation of 42 percent and a minimum possible value of 32 percent.