
Clal Insurance, through its investment arm Clal Financial Management (Canaf), focuses on managing a diversified investment portfolio to enhance profitability and capital strength. Their strategy involves strategic capital allocation to high-growth opportunities, with a significant emphasis on innovation and technology, particularly within the fintech and insurtech sectors. They also invest in alternative assets such as infrastructure debt/equity, real estate finance, and private credit, as well as private equity funds and private companies across various industries including technology, healthcare, and real estate.
33% of their portfolio is in E-Commerce & Marketplace. Their most common stage is series-b (100% of deals). Average disclosed round size is $42.3M (across 3 rounds with reported amounts).
Portfolio
3
Fund Size
$2B
Top Stage
Series B
Last 12 Mo
0
Portfolio Breakdown
Stage Distribution
Sector Distribution
Investment Activity
Portfolio
| Company | Round | Amount | Date |
|---|---|---|---|
| Series B | $35M | Aug 2022 | |
| Series B | $37M | Sep 2021 | |
| Series B | $55M | Jul 2021 |
Top Co-Investors
Last updated: 10 April 2026