Portfolio
What the corporation holds.
AM&R reports its portfolio by category. Individual holdings, ownership percentages and transaction terms are disclosed under diligence, not published.
| Category | Mandate | Status |
|---|---|---|
| Technology & artificial intelligence | Systems, automation and enterprise software that lower the cost of operating every other category. | Represented |
| Commerce | Transactional infrastructure, marketplaces and the channels through which products reach a buyer. | Represented |
| Consumer | Brands and product lines addressed directly to the end customer. | Represented |
| Services | Recurring operational delivery, customer engagement and demand generation. | Represented |
| Digital assets & tokenized instruments | Positions and structures expressing ownership on programmable settlement infrastructure. | Under evaluation |
| Real estate | Reserved in the portfolio structure for future acquisitions. | Reserved |
| Financial services | Reserved in the portfolio structure for future acquisitions. | Reserved |
How to read this
Represented — the corporation holds one or more positions in the category. Under evaluation — an area of active focus with no disclosed position. Reserved — the category is retained in the portfolio structure for future additions.
Counts, names and weightings are deliberately absent. They change, and publishing them invites comparison against figures the corporation does not disclose.
Available under diligence
Entity-level detailOn request
Ownership structureOn request
Category weightingOn request