National International Holding Company K.S.C.P. — Cyborg Score 5/10
Mixed
Diversified Financials / Multi-Sector Holdings
Strategic Profile
NIH positions itself as a multi-sector holding company with exposure to high-growth Middle Eastern markets, particularly in real estate and financial services. The company leverages intellectual property rights and a diversified portfolio across financial services, real estate, industrial, IT, and tourism sectors to generate returns across economic cycles.
Cyborg Score Rationale
The company demonstrates stable dividend history and diversified exposure across three core segments, providing downside protection. However, flat revenue trajectory (~$17-18M annually), small employee base of ~9 core staff, and limited organic growth present challenges in a competitive market.
Top Insights
Diversified business model across financial, real estate, and industrial segments reduces sector-specific risk exposure
Small employee base (9 staff) suggests holding company structure with reliance on subsidiary management teams
Revenue plateau at ~$17M annually indicates mature portfolio focus on dividend generation rather than aggressive growth
Listed on Boursa Kuwait since 2005 with 234M+ outstanding shares, indicating long-term market presence and investor familiarity
Named Competitors
Multi-Sector Industrial & Financial Holdings — Large-scale industrial and financial conglomerate with extensive regional presence
Investment & Financial Services — Kuwait-based investment firm with GCC and international capital market focus
Energy & Petrochemicals Investment — NIG-backed energy sector investor with portfolio of manufacturing operations
Recent Developments
(January 2026) General Assembly held with capital structure resolutions approved
(Recent) Appointed BHM Capital as liquidity provider and new Chairman elected
(Recent) Raised ownership stake in Coast Investment as part of portfolio optimization
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