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chart  EGX30  14,840.90  0.39 % chart   EGX70  686.34  0.12 % Traded Value (M)   478.73    Traded Volume (M)   122.92   77 56 43 176
Alexandria Mineral Oils Company   -0.49 %  chart 6.1  chart  Palm Hills Development Company   2.9 %  chart 2.84  chart  Egyptian Chemical Industries (Kima)   -1.19 %  chart 6.65  chart  Sarwa Capital Holding   1.31 %  chart 6.2  chart  Arab Co. for Asset Management And Development   1.74 %  chart 2.92  chart  Egyptian Financial Group-Hermes Holding Company   1.35 %  chart 17.21  chart  Pioneers Holding   0.7 %  chart 7.21  chart  Egyptian Iron & Steel   1.38 %  chart 5.14  chart  Orascom Investment Holding   2.16 %  chart 0.662  chart  Oriental Weavers   0 %  chart 12  chart  GB AUTO   -1.18 %  chart 5.02  chart  Six of October Development & Investment (SODIC)   -1.35 %  chart 17.5  chart  Juhayna Food Industries   -1.08 %  chart 13.73  chart  Arabia Investments,Development,Fin. Inv. Holding Comp.-Cash   0.93 %  chart 0.763  chart  Arab Cotton Ginning   1.88 %  chart 2.17  chart  Ezz Steel   -0.94 %  chart 17.89  chart  Egyptian Kuwaiti Holding   -0.33 %  chart 1.515  chart  Egyptian for Tourism Resorts   1.38 %  chart 1.977  chart  Heliopolis Housing   -0.42 %  chart 23.89  chart  Global Telecom Holding   -0.66 %  chart 4.55  chart  ELSWEDY ELECTRIC   1.52 %  chart 16.7  chart  Telecom Egypt   0.56 %  chart 14.46  chart  Eastern Company   1.44 %  chart 18.27  chart  T M G Holding   1.15 %  chart 11.4  chart  Orascom Development Egypt   0.27 %  chart 7.41  chart  Medinet Nasr Housing   0.14 %  chart 7.2  chart  Emaar Misr for Development   0.56 %  chart 3.59  chart  Cairo For Investment And Real Estate Development   0.6 %  chart 10.05  chart  Commercial International Bank (Egypt)   0.25 %  chart 68.43  chart  Citadel Capital - Common Shares   0.48 %  chart 4.19  chart 

AlRehab For Securitization Third Issue Tranche C Nov 2020 (EGREHB03C=CA) Declares Bond Dividends for Coupon No. (40) General - 3/14/2019 3:32 PMArabic

Issuer Name : AlRehab For Securitization Third Issue Tranche C Nov 2020
ISIN Code : EGB69471S070
Reuters Code : EGREHB03C=CA
Interest Type : Fixed
Coupon Interest : 11.49 %
Coupon Amount : EGP 0.6865753906
Coupon Number : 40
Coupon Date : 27/03/2019
Coupon Payment Date : 28/03/2019
Notes :
Bond Redemption: EGP 8.0145549557


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