Misr Bank Mutual Fund 2

Equity fund · Conventional · High Risk

267.81 EGP
bank misr
YTD return
12.88%
1-year
35.03%
Since inception
1061.21%
Risk
High Risk

Investment strategy

BANQUE MISR MUTUAL FUND – SECOND ISSUE – CAPITAL GROWTH. Equities % not determined. Cash upto 50% of TA. Securities per issuer upto 10% of NAV, 15% of Issue. Foreign Securities upto 25% of TA. Funds by other banks upto 20% of TA and 5% of the issue

Fund objective

Achieve the maximum possible investment return , also to minimize the risk through portfolio diversification including the listed shares , governmental shares and bonds and nongovernmental listed shares in the Egyptian Stock Exchange or other stock exchange subjected to governmental supervisory authority outdoors similar to the capital market Authority , also the deposits , treasury bills and investment certificates of other funds according to the provisions of the Law 95 year 1992 and its implementing regulation

Fund details

CurrencyEgyptian Pound
TypeConventional
Investment ManagerMisr Capital
IssuerBanque Misr
OutlookLong Term,Medium Term
Redemption FrequencyDaily
Risk TypeHigh Risk
Subscription FrequencyDaily
Minimum Subscription1
Subscription Fee0
Redemption Fee0.75%
Indicative prices and returns — not investment advice.
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