As of March 31, 2025, the total investment portfolio of the State Oil Fund of Azerbaijan (SOFAZ) amounted to 62.4495 billion US dollars, APA-Economics reports.
42.6% of the total investment portfolio consists of bonds and money market instruments (26.6035 billion USD), 24.8% of equities (15.4875 billion USD), 6.8% of real estate (4.2466 billion USD), and 25.8% of gold (16.1 billion USD).
It is noted that as of July 1 of the current year, 29.8% of the investment portfolio was concentrated in Europe, 26.2% in North America, 11.8% in Asia, 0.8% in the Middle East, 0.7% in Australia, and 0.1% in South America.
For comparison, SOFAZ's total investment portfolio increased by 9.5%, or 5.4354 billion USD, compared to the first quarter of the previous year.