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Bond Details
 Sarwa Securitization The Thirtieth Issue Tran C August 2024
Basic Data
ISIN CodeEGB690R1S684Reuters CodeEGSASEC30C=CA
Par Value100No. of Bonds3100000
Issue Size310,000,000CurrencyEgyptian Pound
IssuerSarwa SecuritizationIssue Date02/04/2019
Listing Date25/06/2019Bond TypeSecuritized Bonds / Amortized
Amortization Schedule
Call Date30/05/2020Maturity Date29/08/2024
Coupon Rate15.91%Payment DatesAt the end of each month.
Tax StatusNon TaxableNo. of Coupons/year12
Underwriting InstitutionArab African International BankCoverage Ratio100
Credit Rating on
Credit Rating Report
Public Offering Ratio(%)0
Private Placement Ratio(%)100Prospectus Prospectus
Additional Information as of Last Trading Date (N/A)
Traded VolumeN/ATraded ValueN/A
Trades0Clean Price(%)100
Last Payment Date30/09/2020Next Payment Date31/10/2020
Current Yield %N/AYield To Maturity %N/A