We design, manage, and grow high-conviction strategies tailored for capital preservation, income generation, or high-growth opportunities using innovative AI-driven approaches.
Each strategy is structured through purpose-built vehicles to provide direct, performance-aligned access — no blind funds, no dilution.
Blackberry provides strategic advisory services to founders, ventures, and family offices seeking regional expansion, cross-border structuring, and capital access.
Strategic Partnerships:
VLink Global (United Kingdom — GCC): A capital advisory platform connecting UK innovation and GCC capital
EQIQ LLC (United States): Our gateway to deep-tech and venture co-investment opportunities
We deliver direct access to investment opportunities through purpose-built vehicles — not blind funds. Each strategy has its own structure, allowing investors to choose what they join, how they participate, and when they exit.
Leveraging artificial intelligence to identify opportunities and optimize portfolio construction across traditional and digital asset classes.
Direct investment participation eliminates fund layering and hidden fee structures. Complete disclosure of costs, strategies, and performance metrics.
Multi-jurisdictional platform across UAE, UK, and offshore structures optimizing regulatory efficiency and tax effectiveness.
Comprehensive platform serving retail, institutional, and government-linked capital with consistent service standards.
Track record of generating alpha across market cycles with disciplined risk management and transparent reporting.
Global network through VLink Global (UK-GCC) and EQIQ LLC (US) enabling cross-border opportunities and deep-tech access.
DIFC-based institutional equity platform with 10-year track record delivering 1,704% cumulative returns (33.6% CAGR). Professional management with multi-currency dividend distribution.
Comprehensive digital asset exposure including Bitcoin, Ethereum, Layer-1 protocols, and NFTs. Quarterly subscriptions with annual exits and upcoming BTC-denominated NAV system.
Capital-protected strategy delivering fixed USD returns of 12.5-14.5% through hedged Egyptian Treasury bills with monthly subscription opportunities and 12-month minimum terms.
Enhanced yield strategy utilizing 1:1 leverage on Egyptian Treasury bills with monthly pooling and variable returns based on EGP/USD movements and auction yields.