OCI

  • Oakley Capital Investments reports 6% NAV growth, touts AI portfolio positioning

    LONDON: Oakley Capital Investments Ltd. on Thursday reported a net asset value of £1.23 billion for the year ended Dec. 31, 2025, as the investment company highlighted its positioning to benefit from artificial intelligence adoption. The company’s net asset value per share stood at 738 pence, delivering a total NAV return of 6%, or…

  • OCI and ADNOC to sell 13.8% Fertiglobe shares in ADX IPO

    AMSTERDAM: OCI N.V., Abu Dhabi National Oil Company (ADNOC) and Fertiglobe plc announced their intention to proceed with an initial public offering (IPO) of Fertiglobe and to list its shares for trading on the Abu Dhabi Securities Exchange (ADX). OCI and ADNOC intend to collectively offer 13.8% of Fertiglobe’s issued share capital in the…