{
    "@context": {
        "schema": "https://schema.org/",
        "dct": "http://purl.org/dc/terms/",
        "hg": "https://hormuz.group/data/ns#"
    },
    "id": "hg:company:omid-investment-management-group",
    "identifier": "hg:company:omid-investment-management-group",
    "dataset_type": "entity_dataset",
    "entity_type": "company",
    "data_version": "2.0",
    "generated_by": "Hormuz Data Layer 0.2.1",
    "generated_at": "2026-07-04T02:51:16+00:00",
    "name": "Omid Investment Management Group",
    "slug": "omid-investment-management-group",
    "status": "publish",
    "url": "https://hormuz.group/companies/omid-investment-management-group/",
    "json_url": "https://hormuz.group/wp-content/uploads/hormuz-data/cpt/company/omid-investment-management-group.json",
    "rest_url": "https://hormuz.group/wp-json/hormuz-data/v1/cpt/company/omid-investment-management-group",
    "summary": "",
    "machine_summary": "Omid Investment Management Group Omid Investment Management Group is a Tehran-based listed investment holding with relevance to Iran’s industrial and capital-market structure. Its importance comes from portfolio exposure to strategic sectors such as mining, steel, cement, energy, construction, and financial services rather than from a single operating facility. For Hormuz Group, Omid is useful for mapping how public-market capital, industrial holdings, raw-material assets, and large-scale domestic supply chains are connected through holding-company structures. In the Hormuz investment graph, Omid Investment Management Group connects listed capital markets, mining and metals assets, cement and construction exposure, energy-linked sectors, portfolio governance, and industrial ownership networks. It is useful for screening holding-company influence, mapping strategic shareholders, understanding capital allocation into heavy industry, and assessing indirect exposure to export-sensitive materials chains. Foreign-facing analysis should verify current portfolio composition, subsidiary exposure, disclosure quality, governance structure, sanctions-sensitive sectors, and counterparty risk before commercial reliance. Omid Investment Management Group is a listed investment holding with exposure to mining, metals, steel, cement, construction, capital markets, financial services, commerce, oil, and energy-related sectors. Its activities are centered on portfolio ownership, capital allocation, strategic investment management, listed-asset exposure, and control or influence across industrial value chains. province: Tehran industry: Asset Management, Business Services, Financial Services market: Capital Markets, Funds, Materials, Supply Chains challenges: Compliance, Contract Risk, Counterparty Risk, Data Gaps company_type: Holding Company, Public Company city: Tehran",
    "published_at": "2026-06-28T18:16:09+00:00",
    "modified_at": "2026-06-28T18:16:09+00:00",
    "taxonomies": {
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                "id": 3,
                "name": "Tehran",
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                "url": "https://hormuz.group/provinces/tehran/"
            }
        ],
        "industry": [
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                "name": "Asset Management",
                "slug": "asset-management",
                "url": "https://hormuz.group/industry/financial-services/asset-management/"
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            {
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                "name": "Business Services",
                "slug": "business-services",
                "url": "https://hormuz.group/industry/business-services/"
            },
            {
                "id": 22,
                "name": "Financial Services",
                "slug": "financial-services",
                "url": "https://hormuz.group/industry/financial-services/"
            }
        ],
        "market": [
            {
                "id": 31,
                "name": "Capital Markets",
                "slug": "capital-markets",
                "url": "https://hormuz.group/market/capital-markets/"
            },
            {
                "id": 47,
                "name": "Funds",
                "slug": "funds",
                "url": "https://hormuz.group/market/capital-markets/funds/"
            },
            {
                "id": 73,
                "name": "Materials",
                "slug": "materials",
                "url": "https://hormuz.group/market/enterprise-demand/materials/"
            },
            {
                "id": 76,
                "name": "Supply Chains",
                "slug": "supply-chains",
                "url": "https://hormuz.group/market/enterprise-demand/supply-chains/"
            }
        ],
        "challenges": [
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                "id": 164,
                "name": "Compliance",
                "slug": "compliance",
                "url": "https://hormuz.group/challenges/regulatory-barriers/compliance/"
            },
            {
                "id": 185,
                "name": "Contract Risk",
                "slug": "contract-risk",
                "url": "https://hormuz.group/challenges/operational-risks/contract-risk/"
            },
            {
                "id": 184,
                "name": "Counterparty Risk",
                "slug": "counterparty-risk",
                "url": "https://hormuz.group/challenges/operational-risks/counterparty-risk/"
            },
            {
                "id": 187,
                "name": "Data Gaps",
                "slug": "data-gaps",
                "url": "https://hormuz.group/challenges/operational-risks/data-gaps/"
            }
        ],
        "company_type": [
            {
                "id": 305,
                "name": "Holding Company",
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                "url": "https://hormuz.group/company-type/holding-company/"
            },
            {
                "id": 306,
                "name": "Public Company",
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                "url": "https://hormuz.group/company-type/public-company/"
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        "city": [
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                "id": 384,
                "name": "Tehran",
                "slug": "tehran",
                "url": "https://hormuz.group/cities/tehran/"
            }
        ]
    },
    "taxonomy_labels": {
        "province": "Tehran",
        "industry": "Asset Management, Business Services, Financial Services",
        "market": "Capital Markets, Funds, Materials, Supply Chains",
        "challenges": "Compliance, Contract Risk, Counterparty Risk, Data Gaps",
        "company_type": "Holding Company, Public Company",
        "city": "Tehran"
    },
    "fields_summary": {
        "legal_name": "Omid Investment Management Group",
        "website": "https://omidinvestment.ir",
        "city": "Tehran, Tehran Province, Iran",
        "ticker_symbol": "وامید",
        "listing_status": "listed_tse",
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        "investment_relevance": "In the Hormuz investment graph, Omid Investment Management Group connects listed capital markets, mining and metals assets, cement and construction exposure, energy-linked sectors, portfolio governance, and industrial ownership networks. It is useful for screening holding-company influence, mapping strategic shareholders, understanding capital allocation into heavy industry, and assessing indirect exposure to export-sensitive materials chains. Foreign-facing analysis should verify current portfolio composition, subsidiary exposure, disclosure quality, governance structure, sanctions-sensitive sectors, and counterparty risk before commercial reliance."
    },
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        "last_updated": "28/06/2026",
        "website": "https://omidinvestment.ir",
        "products_services": "Omid Investment Management Group is a listed investment holding with exposure to mining, metals, steel, cement, construction, capital markets, financial services, commerce, oil, and energy-related sectors. Its activities are centered on portfolio ownership, capital allocation, strategic investment management, listed-asset exposure, and control or influence across industrial value chains.",
        "short_profile": "Omid Investment Management Group is a Tehran-based listed investment holding with relevance to Iran’s industrial and capital-market structure. Its importance comes from portfolio exposure to strategic sectors such as mining, steel, cement, energy, construction, and financial services rather than from a single operating facility. For Hormuz Group, Omid is useful for mapping how public-market capital, industrial holdings, raw-material assets, and large-scale domestic supply chains are connected through holding-company structures.",
        "investment_relevance": "In the Hormuz investment graph, Omid Investment Management Group connects listed capital markets, mining and metals assets, cement and construction exposure, energy-linked sectors, portfolio governance, and industrial ownership networks. It is useful for screening holding-company influence, mapping strategic shareholders, understanding capital allocation into heavy industry, and assessing indirect exposure to export-sensitive materials chains. Foreign-facing analysis should verify current portfolio composition, subsidiary exposure, disclosure quality, governance structure, sanctions-sensitive sectors, and counterparty risk before commercial reliance.",
        "source_note": "Based on public company, market, sector, and disclosure-related information. Further verification is required before treating this profile as verified investment intelligence."
    },
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    },
    "sources": [
        {
            "type": "note",
            "value": "Based on public company, market, sector, and disclosure-related information. Further verification is required before treating this profile as verified investment intelligence."
        }
    ],
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}