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Banque Misr's third Mutual fund with cumulative return and periodic distribution

   Click the bellow links for more information

 

General Information

Fund Name

Banque Misr Third Mutual Fund with Accumulated Return and Periodic Distribution

Fund Type

 

Open-Ended Fund with Accumulated Return

Fund Objective

To maximize capital gains and periodic returns for distribution to the fund's document holders by investing in a diversified portfolio of local securities, including stocks and bonds.

 

Inception Date

December 11, 1997

Subscription & Redemption

Subscription: Daily during official working hours, requests must be submitted by 12:00 PM and executed the next day at the closing price of the submission day.

Redemption: Requests are accepted throughout the week until the penultimate business day during official working hours, executed on the first business day of the following week.

NAV Publishing

 

  • Published every Sunday in Al-Ahram newspaper.
  • Published daily on the bank's website.

Fund Manager

CI Asset Management

 

Financial Information

Minimum Investment

One document

Subscription Fees

None

Redemption Fees

1% of the redemption value (suspended until 31-12-2026)

 

Investment Strategy

Equities

30% to 95%

Fixed-Income Instruments

Maximum 50%