
Oman Investment Fund
Fabio Scacciavillani
Chief Economist
www.oif.om
fabio@oif.om
Company Profile
OIF is a sovereign wealth fund established in 2006 to invest in long- and medium-term projects within and outside Oman. Over the years, the OIF has built a globally diversified investment portfolio including Real Estate and Private Equity assets across various sectors covering Travel and Leisure, Financial Services, Utilities, Media and Entertainment, Telecom Infrastructure, Industrial Goods and Services, Industrial Transportation and Engineering sectors.
Delegate Profile
Mr. Scacciavillani is the Chief Economist of the Oman Investment Fund and a member of its Investment Committee. In this role, he develops forecasts, conducts analyses of global economic trends, and contributes to decisions on asset management strategy. Previously he served as Director of Macroeconomics and Statistics at the Dubai International Financial Center; Executive Director at Goldman Sachs; Senior Economist and Adviser at the European Central Bank and held various positions at the International Monetary Fund. He has published several papers and is frequently quoted on international and regional media. He holds a Ph.D. in Economics from the University of Chicago and is the author of The New Economics of Sovereign Wealth Funds.
Fabio Scacciavillani
Chief Economist
www.oif.om
fabio@oif.om
Company Profile
OIF is a sovereign wealth fund established in 2006 to invest in long- and medium-term projects within and outside Oman. Over the years, the OIF has built a globally diversified investment portfolio including Real Estate and Private Equity assets across various sectors covering Travel and Leisure, Financial Services, Utilities, Media and Entertainment, Telecom Infrastructure, Industrial Goods and Services, Industrial Transportation and Engineering sectors.
Delegate Profile
Mr. Scacciavillani is the Chief Economist of the Oman Investment Fund and a member of its Investment Committee. In this role, he develops forecasts, conducts analyses of global economic trends, and contributes to decisions on asset management strategy. Previously he served as Director of Macroeconomics and Statistics at the Dubai International Financial Center; Executive Director at Goldman Sachs; Senior Economist and Adviser at the European Central Bank and held various positions at the International Monetary Fund. He has published several papers and is frequently quoted on international and regional media. He holds a Ph.D. in Economics from the University of Chicago and is the author of The New Economics of Sovereign Wealth Funds.