Search News
L.update:
10/09/2024 12:54:44
News type:
Insider Trading Executions/Treasury Stocks
Trading of Insiders, Major Shareholders & Their Related Parties on Listed Companies: Trading Session 09/09/2024
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
EGX News Content:
L.update:
10/09/2024 12:48:02
News type:
General
El Ahram Co. For Printing And Packing (EPPK.CA) - Board of Directors' meeting minutes
Stock Info:
Sector:
Paper & Packaging
M.Cap:
67,891,200
Chg%:
0
L.Price:
8.16
Company Name : El Ahram Co. For Printing And Packing
ISIN Code : EGS360A1C011
Reuters Code : EPPK.CA
Content :
The Board of Directors' meeting minutes held on 09/09/2024 including the unaudited financial results for the ended period at 30/06/2021.
The BoD Meeting Minutes (806 KB);
EGX News Content:
L.update:
10/09/2024 12:40:41
News type:
General
Release from Taaleem Management Services (TALM.CA) Concerning Badia University
Stock Info:
Sector:
Education Services
M.Cap:
5,776,277,500
Chg%:
-0.25%
L.Price:
7.91
Company Name : Taaleem Management Services
ISIN Code : EGS597R1C017
Reuters Code : TALM.CA
Content :
Release from the company concerning company's investments in the first phase in Badia University.
Release from the Company (244 KB);
EGX News Content:
L.update:
10/09/2024 12:29:51
News type:
General
Release from Palm Hills Development Company (PHDC.CA) Concerning Badia University
Stock Info:
Sector:
Real Estate
M.Cap:
18,679,127,545.15
Chg%:
-2.91%
L.Price:
6.35
Company Name : Palm Hills Development Company
ISIN Code : EGS655L1C012
Reuters Code : PHDC.CA
Content :
Release from the company concerning the opening of Badia University in New October City.
Release from the Company (40 KB);
EGX News Content:
L.update:
10/09/2024 12:29:10
News type:
Trading Notices
Resume of Trading on Atlas For Investment and Food Industries (AIFI.CA)
Stock Info:
Sector:
Real Estate
M.Cap:
438,966,359.60
Chg%:
5.48%
L.Price:
0.674
Company Name : Atlas for Investment & Food Industries
ISIN Code : EGS071L1C018
Reuters Code : AIFI.CA
Content :
EGX decided to resume trading on company's shares effective 10/09/2024 trading session at 11:20 AM, as the company sent the AGM decisions held on 10/09/2024
;
EGX News Content:
L.update:
10/09/2024 12:29:10
News type:
General Assemblies
Atlas for Investment & Food Industries (AIFI.CA) - AGM Decisions
Stock Info:
Sector:
Real Estate
M.Cap:
438,966,359.60
Chg%:
5.48%
L.Price:
0.674
Company Name : Atlas for Investment & Food Industries
ISIN Code : EGS071L1C018
Reuters Code : AIFI.CA
Content :
EGX decided to resume trading on company's shares effective 10/09/2024 trading session at 11:20 AM, as the company sent the AGM decisions held on 10/09/2024
AGM Decisions (1,544 KB);
EGX News Content:
L.update:
10/09/2024 12:22:17
News type:
General
Delta Sugar (SUGR.CA) - Company's Reply on the Central Authority of Accountancy Report
Stock Info:
Sector:
Food, Beverages and Tobacco
M.Cap:
9,066,549,262
Chg%:
-2.40%
L.Price:
63.76
Company Name : Delta Sugar
ISIN Code : EGS30201C015
Reuters Code : SUGR.CA
Content :
Company's reply on the Central Authority of Accountancy Report for the period ended on 30/06/2024.
Company?s Reply (1,225 KB);
EGX News Content:
L.update:
10/09/2024 11:22:52
News type:
Trading Notices
Suspension of Trading on Atlas for Investment & Food Industries (AIFI.CA)
Stock Info:
Sector:
Real Estate
M.Cap:
438,966,359.60
Chg%:
5.48%
L.Price:
0.674
Company Name : Atlas for Investment & Food Industries
ISIN Code : EGS071L1C018
Reuters Code : AIFI.CA
Content :
EGX decided to suspend trading on company's shares effective 10/09/2024 till the company sends AGM decisions held on 10/09/2024
;
EGX News Content:
L.update:
10/09/2024 11:20:06
News type:
General
Release from Fawry For Banking Technology And Electronic Payment (FWRY.CA) Regarding the Circulated News
Stock Info:
Sector:
IT , Media & Communication Services
M.Cap:
24,561,032,589.24
Chg%:
-2.17%
L.Price:
7.21
Company Name : Fawry For Banking Technology And Electronic Payment
ISIN Code : EGS745L1C014
Reuters Code : FWRY.CA
Content :
With reference to the news published on one of the websites titled ?Safarico Real Estate Investment Company has signed a New Agreement with Fawry Company, whereby Fawry Company will acquire 80% of the Safico administrative building?, a clarification release was sent.
Release from the Company in Arabic (193 KB)
Release from the Company in English (60 KB);
EGX News Content:
L.update:
10/09/2024 11:10:34
News type:
General
Release from Kafr El Zayat Pesticides (KZPC.CA) Concerning the Increase in Stock Price
Stock Info:
Sector:
Basic Resources
M.Cap:
2,108,585,155.50
Chg%:
-3.38%
L.Price:
11.71
Company Name : Kafr El Zayat Pesticides
ISIN Code : EGS38411C012
Reuters Code : KZPC.CA
Content :
Release from the company concerning stating that it has no information to justify this increase in stock price during the period from 03/09/2024 to 09/09/2024
Release from the Company (68 KB);
EGX News Content:
L.update:
10/09/2024 11:09:53
News type:
General
E-Finance For Digital and Financial Investements SAE (EFIH.CA) - Board of Directors' Decisions
Stock Info:
Sector:
IT , Media & Communication Services
M.Cap:
50,035,555,553.15
Chg%:
-2.17%
L.Price:
21.65
Company Name : E-Finance For Digital and Financial Investements SAE
ISIN Code : EGS743O1C013
Reuters Code : EFIH.CA
Content :
The Board of Directors' decisions held on 09/09/2024.
The BoD Decisions in English (53 KB)
The BoD Decisions in Arabic (47 KB);
EGX News Content:
L.update:
10/09/2024 11:05:54
News type:
Listing Announcements
De-Listing of Treasury Bonds 10 September 2024
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from ECSD on 10/09/2024 concerning the De-Listing of Treasury Bonds 10 September 2024 (issued on 10/09/2019) that amounted to EGP 32133352000 distributed over 32133352 bonds at a par value of EGP 1,000. This bond issue has been removed from EGX database effective 10/09/2024 .
;
EGX News Content:
L.update:
10/09/2024 11:03:02
News type:
General
Naeem Holding (NAHO.CA) - Release Regarding a Disclosure Form
Stock Info:
Sector:
Non-bank financial services
M.Cap:
56,066,342.08
Chg%:
0
L.Price:
0.16
Company Name : Naeem Holding
ISIN Code : EGS69182C011
Reuters Code : NAHO.CA
Content :
Release regarding the disclosure form according to the Article 29 of EGX Listing Rules.
The Release (253 KB);
EGX News Content:
L.update:
10/09/2024 11:00:02
News type:
Media Releases
Prophet Mohamed's Birthday Holiday for 2024
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
It was decided that Sunday 15th of September 2024 an official holiday forProphet Mohamed's Birthday at EGX, trading will be resumed effective Monday 16th of September2024.
;
EGX News Content:
L.update:
10/09/2024 10:55:41
News type:
Listing Announcements
De-Listing of Treasury Bills 10 September 2024
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from ECSD on 2024/09/10 concerning the De-Listing of Treasury Bills 10 September 2024 Issued on 2023/09/12 that amounted to EGP112,475,575,000 distributed over 4,499,023 bills at a par value of EGP 25,000. This bill issue has been removed from EGX database effective 2024/09/10.
ISIN Code:EGT9980A9O10
;
EGX News Content:
L.update:
10/09/2024 10:48:08
News type:
Listing Announcements
Subscription Re-open Number (2) of Treasury Bonds 13 August 2027 Variable Return
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the CBE & ECSD on 09/09/2024, including their approval to list the increase of Treasury Bonds 13 August 2027 Variable Return with an additional EGP 2949540000 representing the subscription re-open no (2) of Treasury Bonds 13 August 2027 Variable Return, to reach EGP 7576540000 (distributed over 7576540 bonds at a par value of EGP1000), with a variable return rate currently 35.0553 % annually to be paid quarterly in 11/13, 02/13 , 05/13 ،08/13.
The above-mentioned increase will be added to EGX database & available for trading effective 10/09/2024 trading session.
ISIN Code:EGBGR05841V1
;
EGX News Content:
L.update:
10/09/2024 10:40:22
News type:
Listing Announcements
Subscription Re-open Number (4) of Treasury Bonds 13 August 2027
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the CBE & ECSD on 09/09/2024, including their approval to list the increase of Treasury Bonds 13 August 2027 with an additional EGP 25010167000 representing the subscription re-open no (4) of Treasury Bonds 13 August 2027, to reach EGP 67607817000 (distributed over 67607817 bonds at a par value of EGP 1000), with a fixed rate of? 25.318% annually to be paid once per year in 13-Aug.
The above-mentioned increase will be added to EGX database & available for trading effective 10/09/2024 trading session.
ISIN Code:EGBGR05851F3
;
EGX News Content:
L.update:
10/09/2024 10:26:51
News type:
General
Sarwa Sukuk The Fourth Issue August 2029 (EGSRSK04=CA) Declares Bond Dividends for Coupon No. (24)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Sukuk The Fourth Issue August 2029
ISIN Code : EGB69671L047
Reuters Code : EGSRSK04=CA
Interest Type : Floating
Coupon Interest : 20.4040724962069%
Coupon Amount : EGP 1.62115
Coupon Number : 24
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
;
EGX News Content:
L.update:
10/09/2024 10:24:16
News type:
General
Sarwa Sukuk The Second Issue June 2028 (EGSRSK02=CA) Declares Bond Dividends for Coupon No. (38)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Sukuk The Second Issue June 2028
ISIN Code : EGB69671S026
Reuters Code : EGSRSK02=CA
Interest Type : Floating
Coupon Interest : 14.7749101006562%
Coupon Amount : EGP 0.47285
Coupon Number : 38
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 3.04352
;
EGX News Content:
L.update:
10/09/2024 10:21:12
News type:
General
Sarwa Sukuk The First Issue November 2027 (EGSRSK01=CA) Declares Bond Dividends for Coupon No. (46)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Sukuk The First Issue November 2027
ISIN Code : EGB69671L013
Reuters Code : EGSRSK01=CA
Interest Type : Floating
Coupon Interest : 12.8348002956733%
Coupon Amount : EGP 0.19514
Coupon Number : 46
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 1.42219
;
EGX News Content:
L.update:
10/09/2024 10:18:57
News type:
General
Sarwa Sharing Sukuk The Third Issue September 2031 (EGSRSK03=CA) Declares Bond Dividends for Coupon No. (30)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Sharing Sukuk The Third Issue September 2031
ISIN Code : EGB69671L039
Reuters Code : EGSRSK03=CA
Interest Type : Floating
Coupon Interest : 18.886700465321%
Coupon Amount : EGP 1.50059
Coupon Number : 30
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
;
EGX News Content:
L.update:
10/09/2024 10:16:00
News type:
General
Sarwa For Securitization 44th Issue Tranche B May 2027 (EGBSASC44BCV) Declares Bond Dividends for Coupon No. (4)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa For Securitization 44th Issue Tranche B May 2027
ISIN Code : EGB690R1S0F9
Reuters Code : EGBSASC44BCV
Interest Type : Floating
Coupon Interest : 29.5%
Coupon Amount : EGP 2.10008
Coupon Number : 4
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 3.41747
;
EGX News Content:
L.update:
10/09/2024 10:13:22
News type:
General
Sarwa Securitization The Thirty-Six Issue Tranche D Oct 2028 (EGSASEC36D=CA) Declares Bond Dividends for Coupon No. (26)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization The Thirty-Six Issue Tranche D Oct 2028
ISIN Code : EGB690R1S882
Reuters Code : EGSASEC36D=CA
Interest Type : Fixed
Coupon Interest : 10.75%
Coupon Amount : EGP 0.85411
Coupon Number : 26
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
;
EGX News Content:
L.update:
10/09/2024 10:10:45
News type:
General
Sarwa Securitization The Thirty-Six Issue Tranche C Oct 2026 (EGSASEC36C=CA) Declares Bond Dividends for Coupon No. (26)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization The Thirty-Six Issue Tranche C Oct 2026
ISIN Code : EGB690R1S874
Reuters Code : EGSASEC36C=CA
Interest Type : Fixed
Coupon Interest : 10.25%
Coupon Amount : EGP 0.73434
Coupon Number : 26
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 5.94657
;
EGX News Content:
L.update:
10/09/2024 10:07:55
News type:
General
Sarwa Securitization 44th Issue Tranche A May 2025 (EGBSASC44ACV) Declares Bond Dividends for Coupon No. (4)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization 44th Issue Tranche A May 2025
ISIN Code : EGB690R1S0E2
Reuters Code : EGBSASC44ACV
Interest Type : Floating
Coupon Interest : 29%
Coupon Amount : EGP 1.89205
Coupon Number : 4
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 6.33383
;
EGX News Content:
L.update:
10/09/2024 10:05:11
News type:
General Assemblies
International company For Medical Industries -ICMI (ICMI.CA) - EGM Minutes (before Certification)(SMEs Market)
Stock Info:
Sector:
Health Care & Pharmaceuticals
M.Cap:
99,772,207.08
Chg%:
6.18%
L.Price:
1.73
Company Name : International company For Medical Industries -ICMI
ISIN Code : EGS3I0S1C019
Reuters Code : ICMI.CA
Content :
EGM minutes before certification
Assembly Date : 07/09/2024
EGM Minutes (3,249 KB);
EGX News Content:
L.update:
10/09/2024 10:01:51
News type:
General
Sarwa Securitization 41st Issue Tranche C June 2028 (EGSASEC41C=CA) Declares Bond Dividends for Coupon No. (15)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization 41st Issue Tranche C June 2028
ISIN Code : EGB690R1S973
Reuters Code : EGSASEC41C=CA
Interest Type : Fixed
Coupon Interest : 21%
Coupon Amount : EGP 1.66849
Coupon Number : 15
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
;
EGX News Content:
L.update:
10/09/2024 10:00:46
News type:
General
Release from Cairo Pharmaceuticals (CPCI.CA) Regarding the AGM
Stock Info:
Sector:
Health Care & Pharmaceuticals
M.Cap:
1,091,404,125
Chg%:
0
L.Price:
73.08
Company Name : Cairo Pharmaceuticals
ISIN Code : EGS38391C016
Reuters Code : CPCI.CA
Content :
Release from the company regarding the AGM to be held on 05/10/2024 at 10:00 & 11:00 AM.
Release from the Company (724 KB);
EGX News Content:
L.update:
10/09/2024 09:58:51
News type:
General
Sarwa Securitization 41st Issue Tranche B Jun 2026 (EGSASEC41B=CA) Declares Bond Dividends for Coupon No. (15)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization 41st Issue Tranche B Jun 2026
ISIN Code : EGB690R1S965
Reuters Code : EGSASEC41B=CA
Interest Type : Fixed
Coupon Interest : 20.5%
Coupon Amount : EGP 1.1083
Coupon Number : 15
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 5.65559
;
EGX News Content:
L.update:
10/09/2024 09:56:28
News type:
General
Release from Cairo Pharmaceuticals (CPCI.CA) Regarding Reconvening AGM Meetings
Stock Info:
Sector:
Health Care & Pharmaceuticals
M.Cap:
1,091,404,125
Chg%:
0
L.Price:
73.08
Company Name : Cairo Pharmaceuticals
ISIN Code : EGS38391C016
Reuters Code : CPCI.CA
Content :
Release from the company regarding the reconvening of the AGM held on 12/08/2023 & 11/11/2023.
Release from the Company (324 KB);
EGX News Content:
L.update:
10/09/2024 09:56:05
News type:
General
Sarwa Securitization 42nd Issue Tranche C Sept 2028 (EGBSASC42CCF) Declares Bond Dividends for Coupon No. (12)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization 42nd Issue Tranche C Sept 2028
ISIN Code : EGB690R1S0A0
Reuters Code : EGBSASC42CCF
Interest Type : Fixed
Coupon Interest : 22%
Coupon Amount : EGP 1.74795
Coupon Number : 12
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
;
EGX News Content:
L.update:
10/09/2024 09:53:42
News type:
General
Sarwa Securitization 42nd Issue Tranche B Sept 2026 (EGBSASC42BCF) Declares Bond Dividends for Coupon No. (12)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization 42nd Issue Tranche B Sept 2026
ISIN Code : EGB690R1S999
Reuters Code : EGBSASC42BCF
Interest Type : Fixed
Coupon Interest : 21.5%
Coupon Amount : EGP 1.3049
Coupon Number : 12
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 1.20037
;
EGX News Content:
L.update:
10/09/2024 09:50:42
News type:
General
Sarwa Securitization 42nd Issue Tranche A Sep 2024 (EGBSASC42ACF) Declares Bond Dividends for Coupon No. (12)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization 42nd Issue Tranche A Sep 2024
ISIN Code : EGB690R1S981
Reuters Code : EGBSASC42ACF
Interest Type : Fixed
Coupon Interest : 20.75%
Coupon Amount : EGP 0.0379
Coupon Number : 12
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 2.29885
;
EGX News Content:
L.update:
10/09/2024 09:47:01
News type:
General
Tharwa Securitization Securities Thirty-second Issue Tranche C April 2025 (EGSASEC32C=CA) Declares Bond Dividends for Coupon No. (58)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Tharwa Securitization Securities Thirty-second Issue Tranche C April 2025
ISIN Code : EGB690R1S742
Reuters Code : EGSASEC32C=CA
Interest Type : Fixed
Coupon Interest : 13.28%
Coupon Amount : EGP 0.07418
Coupon Number : 58
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 0.67611
;
EGX News Content:
L.update:
10/09/2024 09:45:49
News type:
General
Sarwa Securitization 43rd Iss Tranche C November 2028 (EGBSASC43CCV) Declares Bond Dividends for Coupon No. (9)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization 43rd Iss Tranche C November 2028
ISIN Code : EGB690R1S0D4
Reuters Code : EGBSASC43CCV
Interest Type : Floating
Coupon Interest : 24%
Coupon Amount : EGP 1.90685
Coupon Number : 9
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
;
EGX News Content:
L.update:
10/09/2024 09:45:13
News type:
General
Sarwa Securitization 43rd Iss Tranche B December 2026 (EGBSASC43BCV) Declares Bond Dividends for Coupon No. (9)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization 43rd Iss Tran B December 2026
ISIN Code : EGB690R1S0C6
Reuters Code : EGBSASC43BCV
Interest Type : Floating
Coupon Interest : 23.5%
Coupon Amount : EGP 1.52422
Coupon Number : 9
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 2.49528
;
EGX News Content:
L.update:
10/09/2024 09:43:22
News type:
General
Sarwa Securitization 44th Iss Tranche C April 2029 (EGBSASC44CCV) Declares Bond Dividends for Coupon No. (4)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization 44th Iss Tranche C April 2029
ISIN Code : EGB690R1S0G7
Reuters Code : EGBSASC44CCV
Interest Type : Floating
Coupon Interest : 30%
Coupon Amount : EGP 2.38356
Coupon Number : 4
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
;
EGX News Content:
L.update:
10/09/2024 09:43:03
News type:
General
Sarwa Securitization 43rd Iss Tranche A December 2024 (EGBSASC43ACV) Declares Bond Dividends for Coupon No. (9)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization 43rd Iss Tranche A December 2024
ISIN Code : EGB690R1S0B8
Reuters Code : EGBSASC43ACV
Interest Type : Floating
Coupon Interest : 23.25%
Coupon Amount : EGP 0.81347
Coupon Number : 9
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 10.70336
;
EGX News Content:
L.update:
10/09/2024 09:41:00
News type:
General
Sarwa Securitization The Forteith Iss Tranche B April 2026 (EGSASEC40B=CA) Declares Bond Dividends for Coupon No. (18)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization The Forteith Iss Tranche B April 2026
ISIN Code : EGB690R1S932
Reuters Code : EGSASEC40B=CA
Interest Type : Fixed
Coupon Interest : 18.5%
Coupon Amount : EGP 0.59185
Coupon Number : 18
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 6.52360
;
EGX News Content:
L.update:
10/09/2024 09:39:23
News type:
General
Sarwa Securitization The Forteith Iss Tranche C February 2028 (EGSASEC40C=CA) Declares Bond Dividends for Coupon No. (18)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization The Forteith Iss Tranche C February 2028
ISIN Code : EGB690R1S940
Reuters Code : EGSASEC40C=CA
Interest Type : Fixed
Coupon Interest : 19%
Coupon Amount : EGP 1.50959
Coupon Number : 18
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
;
EGX News Content:
L.update:
10/09/2024 09:38:11
News type:
General
Sarwa Securitization The Thirty-Ninth Issue Tranche B Dec 2025 (EGSASEC39B=CA) Declares Bond Dividends for Coupon No. (23)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization The Thirty-Ninth Issue Tranche B Dec 2025
ISIN Code : EGB690R1S908
Reuters Code : EGSASEC39B=CA
Interest Type : Fixed
Coupon Interest : 15.6%
Coupon Amount : EGP 0.62087
Coupon Number : 23
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 5.43541
;
EGX News Content:
L.update:
10/09/2024 09:37:04
News type:
General
Sarwa Securitization Thirty Fifth Issue Tranche D Mar 2028 (EGSASEC35D=CA) Declares Bond Dividends for Coupon No. (33)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization Thirty Fifth Issue Tranche D Mar 2028
ISIN Code : EGB690R1S841
Reuters Code : EGSASEC35D=CA
Interest Type : Fixed
Coupon Interest : 10.75 %
Coupon Amount : EGP 0.85411
Coupon Number : 33
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
;
EGX News Content:
L.update:
10/09/2024 09:35:42
News type:
General
Sarwa Securitization The Thirty-Ninth Issue Tranche C Nov 2027 (EGSASEC39C=CA) Declares Bond Dividends for Coupon No. (23)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization The Thirty-Ninth Issue Tranche C Nov 2027
ISIN Code : EGB690R1S916
Reuters Code : EGSASEC39C=CA
Interest Type : Fixed
Coupon Interest : 16.1%
Coupon Amount : EGP 1.27918
Coupon Number : 23
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
;
EGX News Content:
L.update:
10/09/2024 09:33:58
News type:
General
Sarwa Securitization Thirty Fifth Issue Tranche C Mar 2026 (EGSASEC35C=CA) Declares Bond Dividends for Coupon No. (33)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization Thirty Fifth Issue Tranche C Mar 2026
ISIN Code : EGB690R1S833
Reuters Code : EGSASEC35C=CA
Interest Type : Fixed
Coupon Interest : 10.25%
Coupon Amount : EGP 0.26801
Coupon Number : 33
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 1.60727
;
EGX News Content:
L.update:
10/09/2024 09:32:25
News type:
General
Sarwa Securittization The Thirty Fourth issue Tranche C Nov2025 (EGSASEC34C=CA) Declares Bond Dividends for Coupon No. (45)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securittization The Thirty Fourth issue Tran C Nov2025
ISIN Code : EGB690R1S809
Reuters Code : EGSASEC34C=CA
Interest Type : Fixed
Coupon Interest : 10.55%
Coupon Amount : EGP 0.26552
Coupon Number : 45
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 3.64960
;
EGX News Content:
L.update:
10/09/2024 09:30:51
News type:
General
Sarwa Securitization Thirty Third Tranche C August 2025 (EGSASEC33C=CA) Declares Bond Dividends for Coupon No. (54)
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
Issuer Name : Sarwa Securitization Thirty Third Tran C August 2025
ISIN Code : EGB690R1S775
Reuters Code : EGSASEC33C=CA
Interest Type : Fixed
Coupon Interest : 12.71%
Coupon Amount : EGP 0.15165
Coupon Number : 54
Coupon Date : 29/09/2024
Coupon Payment Date : 30/09/2024
Notes :
Bond Redemption: EGP 2.60090
;
EGX News Content:
L.update:
09/09/2024 15:56:08
News type:
Media Releases
Minister of Investment and Foreign Trade and EGX Chairman Review Improving Cooperation to Encourage Investment in EGX
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
;
EGX News Content:
L.update:
09/09/2024 15:42:27
News type:
General
Correction from Atlas for Investment & Food Industries (AIFI.CA) Regarding the Bod
Stock Info:
Sector:
Real Estate
M.Cap:
438,966,359.60
Chg%:
5.48%
L.Price:
0.674
Company Name : Atlas for Investment & Food Industries
ISIN Code : EGS071L1C018
Reuters Code : AIFI.CA
Content :
With reference to the announcement published on the trading screens on 09/09/2024 regarding the Board of Directors at its session held on 08/09/2024 correction was from the company regarding the fifth of the resolutions of the Board of Directors referred to.
Correction From the Company (345 KB);
EGX News Content:
L.update:
09/09/2024 15:32:52
News type:
Listing Announcements
Periodic Partial Redemption for the Listed Bonds Of Egyptian Co. For Securitization The Thirteenth Issuance Tranche A February 2025 V.R
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the MCDR on 2024/09/08 by the periodical partial redemption (Installment no. 8) for the listed bonds of Egyptian Co. For Securitization The Thirteenth Issuance Tranche A February 2025 V.R .The total listed value of the bonds after the partial redemption becomes EGP 203,370,933.54 distributed over 3,920,000 bonds at a par value of EGP 51.88034. These modifications will be applied to EGX database effective 2024/09/10 trading session. This bond tranche has been locally rated by MERIS as (AA+)، at a variable annual return rate equal to the rate of the overnight lending rate + margin 0.4% to be paid monthly.
;
EGX News Content:
L.update:
09/09/2024 15:28:14
News type:
Listing Announcements
Periodic Partial Redemption for the Listed Bonds Of Egyptian Co. For Securitization The Eleventh Issue Tranche B February 2025
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the MCDR on 2024/09/08 by the periodical partial redemption (Installment no. 19) for the listed bonds of Egyptian Co. For Securitization The Eleventh Issue Tranche B February 2025 . The total listed value of the bonds after the partial redemption becomes EGP 336,851,816.72 distributed over 10,800,000 bonds at a par value of EGP 31.18998. These modifications will be applied to EGX database effective 2024/09/10 trading session. This bond tranche has been locally rated by MERIS as (AA)، at a variable annual return rate equal to the rate of the overnight lending rate + margin 0.25% to be paid monthly.
;
EGX News Content:
L.update:
09/09/2024 15:22:20
News type:
Listing Announcements
Periodic Partial Redemption for the Listed Bonds Of Egyptian Co. For Securitization The Tenth Issue Tranche C February 2026
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the MCDR on 2024/09/08 by the periodical partial redemption (Installment no. 10) for the listed bonds of Egyptian Co. For Securitization The Tenth Issue Tranche C February 2026 . The total listed value of the bonds after the partial redemption becomes EGP 433,368,377.47 distributed over 7,025,000 bonds at a par value of EGP 61.68944. These modifications will be applied to EGX database effective 2024/09/10 trading session. This bond tranche has been locally rated by MERIS as (AA-)، at a variable annual return rate equal to the rate of the overnight lending rate + margin 0.6% to be paid monthly.
;
EGX News Content:
L.update:
09/09/2024 15:16:40
News type:
Listing Announcements
Periodic Partial Redemption for the Listed Bonds Of Egyptian Co. For Securitization The Eighth Issue Tranche C June 2025
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the MCDR on 2024/09/08 by the periodical partial redemption (Installment no. 20) for the listed bonds of Egyptian Co. For Securitization The Eighth Issue Tranche C June 2025 . The total listed value of the bonds after the partial redemption becomes EGP 247,967,588.45 distributed over 7,487,700 bonds at a par value of EGP 33.11665. These modifications will be applied to EGX database effective 2024/09/10 trading session. This bond tranche has been locally rated by MERIS as (AA- )، at a variable annual return rate equal to the rate of the overnight lending rate + Margin 1.4% to be paid monthly.
;
EGX News Content:
L.update:
09/09/2024 15:00:27
News type:
General
Release from Misr Hotels (MHOT.CA) Concerning Company?s Investor Relations Officer
Stock Info:
Sector:
Travel & Leisure
M.Cap:
9,385,200,000
Chg%:
1.22%
L.Price:
23.70
Company Name : Misr Hotels
ISIN Code : EGS70081C012
Reuters Code : MHOT.CA
Content :
Release from the company regarding the company's Investor Relations Officer.
Release from the Company (414 KB);
EGX News Content:
L.update:
09/09/2024 14:58:26
News type:
Listing Announcements
Periodic Partial Redemption for the Listed Bonds Of Capital For Securitization The Third Issuance - Second Program Tranche D March 2026 Fixed Return
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the MCDR on 2024/09/08 by the periodical partial redemption (Installment no. 4) for the listed bonds of Capital For Securitization The Third Issuance - Second Program Tranche D March 2026 Fixed Return . The total listed value of the bonds after the partial redemption becomes EGP 794,920,000.00 distributed over 11,356,000 bonds at a par value of EGP 70.00000. These modifications will be applied to EGX database effective 2024/09/10 trading session. This bond tranche has been locally rated by MERIS as (A)، at a fixed annual return rate of 22.25% to be paid monthly.
;
EGX News Content:
L.update:
09/09/2024 14:53:00
News type:
Listing Announcements
Increasing the Issue Size of Treasury Bills 10 June 2025
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the CBE & ECSD on 2024/09/09, including their request to increase the Issue Size of Treasury bills 10 June 2025 issued on 2024/06/11 with an additional EGP 1,226,450,000 representing the Increase of the Issue Size, to reach 14,930,925,000 EGP (distributed over 597,237 bills at a par value of EGP 25000) .
The above-mentioned increase will be added to EGX database & available for trading effective 2024/09/10 trading session.
ISIN Code: EGT9980A6P12
;
EGX News Content:
L.update:
09/09/2024 14:52:49
News type:
Listing Announcements
Periodic Partial Redemption for the Listed Bonds Of EFG Hermes Securitization The First Issuance - Fifth Program Tranche C January 2027 Fixed Return
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the MCDR on 2024/09/08 by the periodical partial redemption (Installment no.4) for the listed bonds of EFG Hermes Securitization The First Issuance - Fifth Program Tranche C January 2027 Fixed Return . The total listed value of the bonds after the partial redemption becomes EGP 33,687,000.00 distributed over 450,000 bonds at a par value of EGP 74.86000. These modifications will be applied to EGX database effective 2024/09/10 trading session. This bond tranche has been locally rated by MERIS as (A)، at a fixed annual return rate of 10.25% to be paid monthly starting from February 2023.
;
EGX News Content:
L.update:
09/09/2024 14:50:18
News type:
Listing Announcements
Increasing the Issue Size of Treasury Bills 10 December 2024
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the CBE & ECSD on 2024/09/09, including their request to increase the Issue Size of Treasury Bills 10 December 2024 issued on 2023/12/12 with an additional EGP 87,160,800,000 representing the Increase of the Issue Size , to reach 237,493,675,000 EGP (distributed over 9,499,747 Bills at a par value of 25000 EGP) .
The above-mentioned increase will be added to EGX database & available for trading effective 2024/09/10 trading session.
ISIN Code:EGT9980ACO12
;
EGX News Content:
L.update:
09/09/2024 14:45:53
News type:
Listing Announcements
Periodic Partial Redemption for the Listed Bonds Of Tamweel Securitization The Second Issue-First Program Tranche B November 2025
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the MCDR on 2024/09/08 by the periodical partial redemption (Installment no. 10) for the listed bonds of Tamweel Securitization The Second Issue-First Program Tranche B November 2025 . The total listed value of the bonds after the partial redemption becomes EGP 449,000,000.00 distributed over 6,146,000 bonds at a par value of EGP 73.05564. These modifications will be applied to EGX database effective 2024/09/10 trading session. This bond tranche has been locally rated by MERIS as (AA)، at a variable rate equal to the lending rate announced by the Central Bank + Margin 0.40% to be paid monthly.
;
EGX News Content:
L.update:
09/09/2024 14:43:10
News type:
Listing Announcements
Increasing the Issue Size of Treasury Bills 11 March 2025
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the CBE & ECSD on 2024/09/09, including their request to increase the Issue Size of Treasury Bills 11 March 2025 issued on 2024/03/12 with an additional EGP 50,614,150,000 representing the increase of the issue size, to reach EGP 385,536,500,000 (distributed over 15,421,460 bills at a par value of EGP 25000).
The above-mentioned increase will be added to EGX database & available for trading effective 2024/09/10 trading session.
ISIN Code: EGT9980B3P13
;
EGX News Content:
L.update:
09/09/2024 14:40:24
News type:
Listing Announcements
Adding the Treasury Bills 9 September 2025 To EGX Trading System
Stock Info:
Sector:
Energy & Support Services
M.Cap:
19,250,000
Chg%:
0
L.Price:
0
According to the letter received from the CBE & ECSD on 2024/09/09, including their request to add this issue of Treasury Bills 9 September 2025 issued on 2024/09/10 amounted to EGP 20,445,400,000 distributed over 817,816 bills at a par value of EGP 25000 to the EGX Trading System with a discount rate of 26.246%
The above-mentioned issue will be added to EGX database & available for trading effective 2024/09/10 trading session.
ISIN Code: EGT998099P19
;
EGX News Content:
L.update:
09/09/2024 14:37:38
News type:
General
Release from Minapharm Pharmaceuticals (MIPH.CA) Concerning the Board of Directors & the Executive Managers
Stock Info:
Sector:
Health Care & Pharmaceuticals
M.Cap:
2,028,294,665.60
Chg%:
0
L.Price:
164.99
Company Name : Minapharm Pharmaceuticals
ISIN Code : EGS380G1C011
Reuters Code : MIPH.CA
Content :
Release from the company concerning the Board of Directors & the Executive Managers
Release from the Company (835 KB);
EGX News Content: