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Who we are

OUR EXPERTISE

FUND MANAGEMENT

Private Pension Funds

Multi Family Office services

PORTFOLIO MANAGEMENT

OUR FUNDS

INSIGHTS

AWARDS

Code of Ethics & CSR

REPORTS

MEDIA

NEWS

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AZIMUT GROUP
AZIMUT INVESTMENTS
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Extending the Re-Opening phase for Subscriptions In Azimut Target Maturity
Tranche No.4 –2029 USD till 30-12-2024

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Extending the Re-Opening phase for Subscriptions In Azimut Target Maturity
Tranche No.4 –2029 USD

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Wind in Our Favor

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ASSET CLASS
Money Market
Fixed Income
Balanced
Equity
Precious Metals

ABOUT Money Market

Azimut Investments – Egypt adopts an active investment strategy that capitalizes
on our ability to scientifically anticipate interest rate movements and exploit
these opportunities. The main objective is to provide liquidity to our clients
while achieving yields that surpass inflation and rates offered on comparable
investments. We invest in different money-market instruments with a duration up
to 13 months





INSIGHTS AND DOCUMENTS
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OUR FUNDS
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az–استحقاق T29 USD

NAV USD 10.18096

The tranch aims to achieve special periodic returns by investing in the USD
dominated Egyptian fixed income instruments, aiming to make periodic
distributions to the IC holders while the tranche adopts a spacific maturity
strategy ending in 2029

2024-08-04More Details

az- فرص الشريعة

NAV EGP 1.10044

The fund aims to actively invest in EGX33 stocks universe, whether listed on the
Egyptian Stock Exchange or shares of Egyptian companies listed on foreign stock
exchanges, without being bound by the relative weights of the stocks in the
index.

2024-07-23More Details

az- حالا

NAV EGP 1.31073

The fund aims to provide a medium-term saving and investment vessel, as the fund
distributes its investments to fixed income instruments - according to each
tranche - specified in the investment policy of different terms, such as
treasury bills issued by the government, , bank savings certificates, IC'S,
corporate bonds, securitization, sukuk, and others. debt instruments. Therefore,
this fund is considered a fund with a low rate of risk and provides cash
liquidity by calculating a daily cumulative return on the funds invested in it,
and this is done by investing in accordance with the investment guidlines
specified in each tranche.

2023-05-28More Details

az- جولد

NAV EGP 15.43248

az–Gold aims to invest in gold metal (physical investment in bullion), such that
the Net Asset Value of the fund is calculated based on the gold price announced
by EGX. The fund follows a passive investment policy, tracking a reliable price
index to ensure achieving a fund’s performance that mimics the index, and
operates under Shari’a Supervision

2023-05-21More Details

az- فاليو

NAV EGP 1.31986

The fund aims to provide a medium-term saving and investment vessel, as the fund
distributes its investments to fixed income instruments - according to each
tranche - specified in the investment policy of different terms, such as
treasury bills issued by the government, bank savings certificates, IC'S,
corporate bonds, securitization, sukuk, and others. debt instruments. Therefore,
this fund is considered a fund with a low rate of risk and provides cash
liquidity by calculating a daily cumulative return on the funds invested in it,
and this is done by investing in accordance with the investment guidelines
specified in each tranche.

2023-03-19More Details

az– ناصر

NAV EGP 13.42026

The fund provides daily liquidity investing in safe, short-term money market
instruments that aims to yield higher than bank deposits’ and saving accounts.
This is achieved by investing in money market instruments with a high degree of
liquidity and maturities of less than 13 months with a maximum duration of 150
days while complying with the Islamic Sharia

2023-03-05More Details

az- استحقاق T25 USD

NAV USD 10.80036

The fund aims to achieve special periodic returns by investing in fixed income
instruments in different currencies according to the tranche currency, aiming to
make periodic distributions to the IC holders while each tranche adopts a
pacific maturity strategy

2023-02-26More Details

Menthum

NAV EGP 1.4301

The fund aims to achieve a cumulative and daily return that exceeds the average
return on current accounts, with the ability of purchasing and redeeming the
certificate electronically through the Munthum application, and the certificates
can also be redeemed to pay the value of products and services through the
application.

2022-05-29More Details

Bank Nxt - Sanady

NAV EGP 16.31772

Achieving the balance between the fund’s growth and the level of risks by
investing in high-risk instruments such as stocks and low-risk instruments such
as debt instruments.

2022-04-27More Details

az- استحقاق T27 USD

NAV USD 10.3784

The fund aims to achieve special periodic returns by investing in fixed income
instruments in different currencies according to the tranche currency, aiming to
make periodic distributions to the IC holders while each tranche adopts a
pacific maturity strategy. The fund distributes part/full of the return on
quarterly basis , so the drop in net asset value of the unit represents the
coupon distributed.

2022-01-02More Details

az- استحقاق T25 EGP

NAV EGP 12.65113

The fund aims to achieve special periodic returns by investing in fixed income
instruments in different currencies according to the tranche currency, aiming to
make periodic distributions to the IC holders while each tranche adopts a
pacific maturity strategy. The fund distributes part/full of the return on
quarterly basis , so the drop in net asset value of the unit represents the
coupon distributed.

2022-01-02More Details

EBE – El Khabeer

NAV EGP 375.02

The Fund aims to Investment in a diversified portfolio of domestic shares ,bonds
and Funds investment certificates, to be managed by specialized experts to
maximize returns, to be distributed to certificate-holders.

2021-10-01More Details

az- فرص

NAV EGP 29.72552

The fund aims to take advantage of growth opportunities in the market through
calculated concentrated bets. In times of unfavorable market conditions, the
fund has the privilege to reduce the equity exposure to 30% . The fund is an
open-ended private placement fund that provides liquidity with daily
subscriptions and redemptions

2021-05-23More Details

az- ادخار

NAV EGP 16.67306

The fund aims to provide a steady return by investing in a low-risk fixed income
instruments. The fund offers daily subscription and daily redemption without any
subscription or redemption fees. The fund is considered a variation or a
derivative from proto-types Money Market and Fixed Income Funds, allowing
flexible movement over the yield curve along the maturity ladder and across
different Fixed Income Instruments.

2020-10-22More Details

AZ Equity - Egypt

NAV USD 6.922

The Fund aims to achieve capital appreciation by investing mainly in equity and
equity-related securities of companies of any market capitalization incorporated
or having their principal business activities in Egypt. The Fund’s base currency
is USD. The currency exposure is not hedged.

2020-02-17More Details

Ataa Charity Fund

NAV EGP 13.72656

The fund aims to achieve the highest possible returns within its investment
guidelines, which is fully directed to spending on specified social and
charitable purposes through flagship associations, foundations, government
agencies and affiliated entities related to charitable activities for special
needs

2020-01-04More Details

Maashy

NAV EGP 2062.5626

The fund aims to achieve capital growth by achieving the highest possible
returns on invested funds through diversification of assets Various investment
instruments, whereby a minimum of 85% is invested in various fixed income
instruments, such as deposits, bills and treasury bonds And securitized bonds.
It is also permitted to invest no more than 15% in the shares listed in the
stock exchange. The investment controls were compatible with the provisions of
the Article No. 14 of the executive regulations of the Private Insurance Funds
Law No. 54 For the year 1975 in accordance with the amendments issued by the
Minister of Investment Decision No. 109 of 2015 and in accordance with the
provisions of the Capital Market Law No. 95 of 1992 and its executive
regulations governing investment funds.

2018-11-15More Details

ABC

NAV EGP 378.89

The fund aims to achieve capital growth by investing in equities listed in the
Egyptian stock exchange while providing liquidity advantage through weekly
subscriptions and redemptions. The fund invests mainly in high conviction names
based on our robust buy-side research activities. The fund distributed cash
dividends EGP 120.88 per IC on 26/12/2019

2008-08-10More Details

EBE

NAV EGP 679.29

The fund provides daily liquidity investing in safe, short-term money market
instruments that aims to yield higher than bank deposits’ and saving accounts.
This is achieved by investing in money market instruments with a high degree of
liquidity and maturities of less than 13 months with a maximum duration of 150
days.

2006-11-14More Details
OUR GLOBAL NETWORK

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Address

Smart Village | Building B 16 | PO-Box 12577 | Giza, Egypt

Phone Number

+20235353535

E-mail

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