Listing Announcements
Listing Request of Capital For Securitization - The third Issuance of the fourteenth Program
Published at 23 April 2026 at 15:31
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EGX announcing
the request to list new securitization bonds on 23/04/2026
Company name/ Capital For Securitization - The third Issuance of the fourteenth Program
In implementation of Article (20) of the rules for listing and delisting securities, the Egyptian Exchange announces receiving a request on 23/04/2026, to list the securitization bonds issued from Capital For Securitization - The third Issuance of the fourteenth Program, where the listing documents are being fulfilled to be presented to the Listing Committee , the details of the listing request are as follows
Nominal securitization bonds, short term, against financial rights and deferred payments that are tradable, non-callable and non- convertible bonds, with a total amount of EGP 1,306,500,000 represented in one issuance over One tranche, through a 100% private placement for financial institutions, entities with financial solvency, natural and legal persons
The announcement shall be published for a period of five working days from its date, in implementation of the provisions of Article (20) of the rules for listing and delisting securities issued by the Board of Directors of the Financial Regulatory Authority No. (11) On 22/01/2014 and its executive procedures and their amendments
Company name/ Capital For Securitization - The third Issuance of the fourteenth Program
In implementation of Article (20) of the rules for listing and delisting securities, the Egyptian Exchange announces receiving a request on 23/04/2026, to list the securitization bonds issued from Capital For Securitization - The third Issuance of the fourteenth Program, where the listing documents are being fulfilled to be presented to the Listing Committee , the details of the listing request are as follows
Nominal securitization bonds, short term, against financial rights and deferred payments that are tradable, non-callable and non- convertible bonds, with a total amount of EGP 1,306,500,000 represented in one issuance over One tranche, through a 100% private placement for financial institutions, entities with financial solvency, natural and legal persons
The announcement shall be published for a period of five working days from its date, in implementation of the provisions of Article (20) of the rules for listing and delisting securities issued by the Board of Directors of the Financial Regulatory Authority No. (11) On 22/01/2014 and its executive procedures and their amendments