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Banque Misr Money Market Fund (Youm b Youm - Dollar)




Banque Misr Money Market Fund - US Dollar

General Data

General Data

Fund Category

Money Market Fund

Investment Objective

The Fund’s objective is to provide investors with daily liquidity while preserving capital and maximizing return. Its objectives are achieved through diversifying its investments in secure high-yielding short-term interest-bearing instruments. It invests in short and medium term investments such as sovereign bonds, treasury Bills, notes, bonds and bank deposits, certificates of deposits, corporate bonds, and other U$ securities .


Accumulative Fund

Inception Date

2 April 2007

Subscription & Redemption

Daily before 2PM from any of BM branches

 NAV Publishing

On the first business day of the week at Alahram Newspaper

Fund Manager

​Misr Capital (SAE)​


Banque Misr


Hazem Hassan (KPMG) - Price water house PWC

Financial Data

Financial Data

Fund Size at Inception

U$ 100 million

Seed Capital by Banque Misr

U$ 5 million

Initial NAV per Certificate

U$ 10

Minimum Subscription

U$ 5000

Fund manager fees


Management Fees

0.25% of NAV

Performance Fees


Bank Fees

0.15% of NAV

Marketing Fees

0.25% of NAV

Other Fees


Subscription Fees

Individuals: U$ 20                     Corporates: u$ 50

Redemption Fees


Assets Allocation


Allocation of Cash %

Max allocation 90% of Total assets

Allocation of  U$Treasury Bills %

Max allocation 100% of Total assets

Sovereign Bonds %

Max allocation 40% of Total assets

Allocation of U$ Saving Certificates

 Max allocation 40% of Total assets

Allocation of Corp.Bonds, U$ securities &other fixed income securities

Max allocation 30% of Total assets (max.allocation: 20% for each)

Structured products  Issued from banks ranked not less than BBB

40% of Total assets

Securities, deposits, bonds, saving certificates combined at any party except the governments entities or the business sector or the government banks

Max allocation 20% of Total assets

Currency swap contracts, interests, derivatives, options and futures

Max allocation 25% of NAV

Securities Per Issuer

max allocation: (10% of Total assets) & ( 15% of Issue )

Funds Cert. Issued by other Banks

max allocation: (20% of Total assets) & ( 5% of Issue )