About CI IPO Fund
CI IPO Fund is an investment fund profile on SNDUK. This page explains CI IPO Fund performance, key fund facts, and investment strategy for investors comparing funds in Egypt.
CI IPO Fund is managed by سي آي لإدارة الأصول. Fund type: equity. Fund code: CIP. Assets under management: 0. Minimum investment: وثيقة واحدة. Inception date: 2/7/2026.
CI IPO Fund is an open-ended investment fund specialized in investing in initial public offerings (IPOs) within the Egyptian market, with the flexibility to allocate part of its assets to already listed equities and fixed income instruments.
The core idea of the fund is to capitalize on pricing opportunities associated with newly listed companies, by entering at the early stages of trading, which may experience noticeable price movements and growth potential compared to the secondary market.
The fund is not limited to participating in IPOs only; it follows an active management approach after listing, allowing it to hold or exit positions based on company performance and market conditions, while reallocating liquidity into new opportunities.
The fund’s investment policy focuses on equities listed on the Egyptian Exchange, particularly IPOs, where equity exposure can reach up to 95% of total assets, with a minimum of 60% of the fund’s proceeds, with the possibility of reducing this allocation in exceptional cases as determined by the investment manager.
On the defensive side, up to 50% of the fund’s assets may be invested in treasury bills, government bonds, and other low-risk instruments, including bank deposits and cash-equivalent assets, to support liquidity and manage risk.
Additionally, the fund is subject to diversification limits, where investment in other mutual funds must not exceed 20% of net assets or 5% of the outstanding units of the target fund.
CI IPO Fund fund details
CI IPO Fund is managed by سي آي لإدارة الأصول. The asset manager oversees portfolio decisions and fund operations for CI IPO Fund.
CI IPO Fund is classified as a equity fund, which shapes its risk profile and investment universe.
Investors can identify CI IPO Fund in market data using fund code CIP.
CI IPO Fund reports assets under management of 0.
The minimum investment amount to participate in CI IPO Fund is وثيقة واحدة.
CI IPO Fund was launched on 2/7/2026, giving investors a track record to evaluate long-term performance.
CI IPO Fund performance summary
Return over 1 week: +2.9059%. Return over 1 month: -0.5495%. Return over 3 months: +4.6826%. Return over since inception: +6.591%.
Use this SNDUK fund page to review CI IPO Fund returns, manager details, and strategy before investing.
SNDUK publishes CI IPO Fund data to help investors compare Egyptian investment funds with transparent performance and fund information.




