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Banque Misr Capital Guaranteed Fund (Sandouk El Omr) |
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General Data |
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General Data |
Fund Name |
Banque Misr Capital Guaranteed Fund (Sandouk El Omr) |
Fund Category |
Accumulated - Capital Guaranteed Fund |
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Investment Objective |
Diversifiedinvestments through a carefully allocated mix of stocks, Bonds and Short term money market instruments. The Fund is Capital Guaranteed after 3 yrs. |
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Distributions |
Accumulative Fund |
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Inception Date |
2 October 2003 |
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Subscription & Redemption |
Subscription :Daily before 12:00 PM from any of BM branches / Redemption: Before 12:00 PM on first workingday of Business week from any of BM branches |
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NAV Publishing |
On the first business day of the week in Al-Ahram Newspaper |
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Fund Manager |
CI Asset Management |
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Custodian |
Arab African International Bank (AAIB) |
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Auditors |
Rashed & Badr Office PKF |
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Financial Data |
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Financial Data |
Fund Size |
EGP 200 million |
Seed Capital by Banque Misr |
EGP 12.5 million |
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Initial NAV per Certificate |
EGP 100 |
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Minimum Subscription |
1 Certificate |
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Fund manager Fees |
The fees are calculated according to the following segments: |
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1- Management Fees |
LE 10 MM : 0.2% annually of Net Asset Value (NAV) |
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2- Performance Fees |
8%of annually from Net profit above 91 day T-bills yield +2% (in case of not issuing of 3m Treasury bills , they can be replaced by Banque Misr average return of 3 months deposits) |
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Bank Fees |
0.8% annually from Net Asset Value ( NAV ) |
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Subscription Fees |
none |
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Redemption Fees |
1-3 Yrs: .25 % / after 3 Yrs : Zero |
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Assets Allocation |
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Assets Allocation |
Allocation Equities % |
Max. Allocation: (30% of NAV) |
Allocation Fixed Income % |
Min. Allocation: ( 70% of NAV) |
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Securities Per Issuer |
Max. Allocation: (10% of NAV) & (15% of issue) |
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Securities Per Sector |
Max. Allocation: (30% of NAV) |
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International CD's |
Max. Allocation: (20% of NAV) |
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Funds Issued by Other Banks |
Max. Allocation: (10% of NAV) & (5% of issue) |