General
Capital For Securitization The Third Issuance - The Twelveth Program Tranche B September 2026 F.R (EGBCPSC3P12B) Declares Bond Dividends for Coupon No. (8)
Published at 24 May 2026 at 14:17سندات كابيتال للتوريق ص 3 ب 12 ش ب سبتمبر 2026 ع.ث
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Issuer Name : Capital For Securitization The Third Issuance - The Twelveth Program Tranche B September 2026 F.R
ISIN Code : EGB69611S2O4
Reuters Code : EGBCPSC3P12B
Interest Type : Fixed
Coupon Interest : 22.15%
Coupon Amount : EGP 1.6931095889
Coupon Number : 8
Coupon Date : 25/05/2026
Coupon Payment Date : 31/05/2026
Notes :
Bond Redemption: EGP11.0000000000
ISIN Code : EGB69611S2O4
Reuters Code : EGBCPSC3P12B
Interest Type : Fixed
Coupon Interest : 22.15%
Coupon Amount : EGP 1.6931095889
Coupon Number : 8
Coupon Date : 25/05/2026
Coupon Payment Date : 31/05/2026
Notes :
Bond Redemption: EGP11.0000000000