Combining our strength and expertise, we present our clients with best-in-class products and services, tailoring to their needs and aiming to maximize their international goals in a rapidly changing environment.
One of the leading online brokerage companies in Egypt
Arabeya Online, one of the leading online brokerage companies in Egypt, draws on 10 years of experience to serve as the preeminent securities brokerage company in Egypt, Providing a wide spectrum of services to our retail and institutional clients.
Founded in 2006, AOLb is the online trading market leader in Egypt, a subsidiary of NI Capital Holding. The company offers a comprehensive array of products including conditional orders, mobile trading and margin trading.
Capital For Securitization 4th Iss 6th Pro Tranche C Mar 30 VR (EGBCPSC4P6CCV) Declares Bond Dividends for Coupon No. (2)
Issuer Name : Capital For Securitization 4th Iss 6th Pro Tranche C Mar 30 VR ISIN Code : EGB69611S1N8 Reuters Code : EGBCPSC4P6CCV Interest Type : Floating Coupon Interest : 26.55% Coupon Amount : EGP 2.2549315068 Coupon Number : 2 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025
Capital For Securitization 4th Iss 6th Pro Tranche D Dec 30 VR (EGBCPSC4P6DCV) Declares Bond Dividends for Coupon No. (2)
Capital For Securitization 4th Iss 6th Pro Tranche D Dec 30 VR (EGBCPSC4P6DCV) Declares Bond Dividends for Coupon No. (2)
Issuer Name : Capital For Securitization 4th Iss 6th Pro Tranche D Dec 30 VR ISIN Code : EGB69611S1O6 Reuters Code : EGBCPSC4P6DCV Interest Type : Floating Coupon Interest : 26.8% Coupon Amount : EGP 2.2761643839 Coupon Number : 2 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025
Capital For Securitization 4th Iss 6th Pro Tranche A Apr 26 VR (EGBCPSC4P6ACV) Declares Bond Dividends for Coupon No. (2)
Capital For Securitization 4th Iss 6th Pro Tranche A Apr 26 VR (EGBCPSC4P6ACV) Declares Bond Dividends for Coupon No. (2)
Issuer Name : Capital For Securitization 4th Iss 6th Pro Tranche A Apr 26 VR ISIN Code : EGB69611S1L2 Reuters Code : EGBCPSC4P6ACV Interest Type : Floating Coupon Interest : 26.25% Coupon Amount : EGP 2.2294520541 Coupon Number : 2 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025
Capital For Securitization 5th Iss 2nd Pro Tranche D Aug 2026 FR (EGBCPSC5P2DCF) Declares Bond Dividends for Coupon No. (19)
Capital For Securitization 5th Iss 2nd Pro Tranche D Aug 2026 FR (EGBCPSC5P2DCF) Declares Bond Dividends for Coupon No. (19)
Issuer Name : Capital For Securitization 5th Iss 2nd Pro Tranche D Aug 2026 FR ISIN Code : EGB69611S584 Reuters Code : EGBCPSC5P2DCF Interest Type : Fixed Coupon Interest : 22.95% Coupon Amount : EGP 0.8576383562 Coupon Number : 19 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025 Notes : Bond Redemption: EGP 3.000000000
Capital For Securitization 4th Iss 6th Pro Tranche B Mar 28 VR (EGBCPSC4P6BCV) Declares Bond Dividends for Coupon No. (2)
Capital For Securitization 4th Iss 6th Pro Tranche B Mar 28 VR (EGBCPSC4P6BCV) Declares Bond Dividends for Coupon No. (2)
Issuer Name : Capital For Securitization 4th Iss 6th Pro Tranche B Mar 28 VR ISIN Code : EGB69611S1M0 Reuters Code : EGBCPSC4P6BCV Interest Type : Floating Coupon Interest : 26.4% Coupon Amount : EGP 2.242191781 Coupon Number : 2 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025
Capital For Securitization 2nd Iss 4th Pro Tranche C May 2025 (EGBCPSC2P4CCV) Declares Bond Dividends for Coupon No. (12)
Capital For Securitization 2nd Iss 4th Pro Tranche C May 2025 (EGBCPSC2P4CCV) Declares Bond Dividends for Coupon No. (12)
Issuer Name : Capital For Securitization 2nd Iss 4th Pro Tranche C May 2025 ISIN Code : EGB69611S865 Reuters Code : EGBCPSC2P4CCV Interest Type : Floating Coupon Interest : 26.85% Coupon Amount : EGP 0.0228041093 Coupon Number : 12 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025 Notes : Bond Redemption: EGP 1.0000000000
Capital For Securitization 2nd Iss 4th Pro Tranche W Jan 2027 (EGBCPSC2P4WCV) Declares Bond Dividends for Coupon No. (12)
Capital For Securitization 2nd Iss 4th Pro Tranche W Jan 2027 (EGBCPSC2P4WCV) Declares Bond Dividends for Coupon No. (12)
Issuer Name : Capital For Securitization 2nd Iss 4th Pro Tranche W Jan 2027 ISIN Code : EGB69611S899 Reuters Code : EGBCPSC2P4WCV Interest Type : Floating Coupon Interest : 28% Coupon Amount : EGP 2.3780821935 Coupon Number : 12 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025
Capital For Securitization 2nd Iss 4th Pro Tranche D Nov 2025 (EGBCPSC2P4DCV) Declares Bond Dividends for Coupon No. (12)
Capital For Securitization 2nd Iss 4th Pro Tranche D Nov 2025 (EGBCPSC2P4DCV) Declares Bond Dividends for Coupon No. (12)
Issuer Name : Capital For Securitization 2nd Iss 4th Pro Tranche D Nov 2025 ISIN Code : EGB69611S873 Reuters Code : EGBCPSC2P4DCV Interest Type : Floating Coupon Interest : 27.25% Coupon Amount : EGP 1.8977945201 Coupon Number : 12 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025
Capital For Securitization 2nd Iss 3rd Pr Tranche D Apr 2026 (EGBCPSC2P3DCF) Declares Bond Dividends for Coupon No. (20)
Capital For Securitization 2nd Iss 4th Pro Tranche H May 2026 (EGBCPSC2P4HCV) Declares Bond Dividends for Coupon No. (12)
Issuer Name : Capital For Securitization 2nd Iss 4th Pro Tranche H May 2026 ISIN Code : EGB69611S881 Reuters Code : EGBCPSC2P4HCV Interest Type : Floating Coupon Interest : 27.5% Coupon Amount : EGP 2.3356164372 Coupon Number : 12 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025
Capital For Securitization 3rd Iss 4th Pro Tranche D Apr 2026 (EGBCPSC3P4DCV) Declares Bond Dividends for Coupon No. (7)
Capital For Securitization 3rd Iss 4th Pro Tranche D Apr 2026 (EGBCPSC3P4DCV) Declares Bond Dividends for Coupon No. (7)
Issuer Name : Capital For Securitization 3rd Iss 4th Pro Tranche D Apr 2026 ISIN Code : EGB69611S0M2 Reuters Code : EGBCPSC3P4DCV Interest Type : Floating Coupon Interest : 27% Coupon Amount : EGP 2.2931506855 Coupon Number : 7 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025
Capital For Securitization 3rd Iss 6th Pro Tranche A Jan 2026 (EGBCPSC3P6ACV) Declares Bond Dividends for Coupon No. (5)
Capital For Securitization 3rd Iss 6th Pro Tranche A Jan 2026 (EGBCPSC3P6ACV) Declares Bond Dividends for Coupon No. (5)
Issuer Name : Capital For Securitization 3rd Iss 6th Pro Tranche A Jan 2026 ISIN Code : EGB69611S0S9 Reuters Code : EGBCPSC3P6ACV Interest Type : Floating Coupon Interest : 26.25% Coupon Amount : EGP 2.2294520528 Coupon Number : 5 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025
Capital For Securitization 3rd Iss 4th Pro Tranche H Oct 2026 (EGBCPSC3P4HCV) Declares Bond Dividends for Coupon No. (7)
Capital For Securitization 3rd Iss 4th Pro Tranche H Oct 2026 (EGBCPSC3P4HCV) Declares Bond Dividends for Coupon No. (7)
Issuer Name : Capital For Securitization 3rd Iss 4th Pro Tranche H Oct 2026 ISIN Code : EGB69611S0N0 Reuters Code : EGBCPSC3P4HCV Interest Type : Floating Coupon Interest : 27.25% Coupon Amount : EGP 2.3143835608 Coupon Number : 7 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025
Capital For Securitization 3rd Iss 6th Pro Tranche B Dec 2027 (EGBCPSC3P6BCV) Declares Bond Dividends for Coupon No. (5)
Capital For Securitization 3rd Iss 6th Pro Tranche B Dec 2027 (EGBCPSC3P6BCV) Declares Bond Dividends for Coupon No. (5)
Issuer Name : Capital For Securitization 3rd Iss 6th Pro Tranche B Dec 2027 ISIN Code : EGB69611S0T7 Reuters Code : EGBCPSC3P6BCV Interest Type : Floating Coupon Interest : 26.4% Coupon Amount : EGP 2.2421917807 Coupon Number : 5 Coupon Date : 29/05/2025 Coupon Payment Date : 01/06/2025