General
Capital For Securitization 1st Iss 15th Pr Tranche A Dec 2027 (EGBCPSC1P15ACV) Declares Bond Dividends for Coupon No. (6)
Published at 22 April 2026 at 09:49سندات كابيتال للتوريق ص1 ب15 ش أ ديسمبر 2027 ع م
AI Summary
AI-powered disclosure summary — Coming soon 🔜
Issuer Name : Capital For Securitization 1st Iss 15th Pr Tranche A Dec 2027
ISIN Code : EGB69611S2T3
Reuters Code : EGBCPSC1P15ACV
Interest Type : Floating
Coupon Interest : 20.35%
Coupon Amount : EGP 1.4708623333
Coupon Number : 6
Coupon Date : 30/04/2026
Coupon Payment Date : 03/05/2026
Notes :
bond redemption 0.5456264775 EGP
ISIN Code : EGB69611S2T3
Reuters Code : EGBCPSC1P15ACV
Interest Type : Floating
Coupon Interest : 20.35%
Coupon Amount : EGP 1.4708623333
Coupon Number : 6
Coupon Date : 30/04/2026
Coupon Payment Date : 03/05/2026
Notes :
bond redemption 0.5456264775 EGP