Suez Canal Bank Fund

Type of Fund:Open End - Balanced Fund
Initial Capital:EGP 30 million
Inception Date:1996 - HC management commenced on 20/11/2005 with NAV of EGP 299.20
Subscription and Redemption:Weekly
Minimum Number of Certificates:None
Subscription Fees:
None
Redemption Fees:0.5%
Fact Sheet: Click here (English version) - Click here (Arabic version)
Prospectus: Click here

* Please carefully consider the fund's investment objective, risks, charges and expenses applicable to a continued investment in the fund before investing. For this and other information, call or write to HC Securities & Investment for a free prospectus, or view one online. Kindly read it carefully before you invest. Please note that in case of discrepancy the Arabic version of the prospectus is legally applicable.


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AR_Suez_Bank_Fact_Sheet_30-10-2008_(1).xls.pdf174.18 KB
EN_Suez_Bank_Fact_Sheet_30-10-2008_(1).xls.pdf165.86 KB