Mark Krombas is one of the most experienced investors in GCC equities with 13 years buy side expertise. He has invested through the birth of GCC and Middle East equity markets until the present day. As portfolio manager at SG Asset Management he launched the largest MENA fund in Europe and demonstrated and outstanding six year track record. In 2012 Mark joined QIC as Head of MENA equities continuing an outstanding track record culminating in the launch of the QIC GCC Fund on the Notz Stucki platform at the end of 2014. Mark also has six years sell side experience covering MENA markets at EFG and SG Securities and has a BA Hons degree in business from Kingston University.