About Thabat Fund CIB
Thabat Fund CIB is an investment fund profile on SNDUK. This page explains Thabat Fund CIB performance, key fund facts, and investment strategy for investors comparing funds in Egypt.
Thabat Fund CIB is managed by سي آي لإدارة الأصول. Fund type: fixed_income. Fund code: CTH. Assets under management: 146366846. Minimum investment: وثيقة واحدة. Inception date: 9/5/2011.
Thabat Fund is an open-ended investment fund focused on long-term fixed income instruments. It was launched by the Commercial International Bank (CIB) in 2011 with the objective of generating stable periodic returns while preserving capital. The fund invests in government bonds, corporate bonds, and various debt instruments, making it suitable for investors seeking regular income with lower risk compared to equities.
How does Thabat Fund operate and what is its management approach? The fund is managed by CI Asset Management through an active investment strategy aimed at balancing returns and stability. This is achieved by carefully selecting fixed income instruments and dynamically reallocating investments based on market conditions. The fund benefits from professional management that supports relatively stable performance, with a moderate risk level compared to money market funds.
What is the investment strategy of Thabat Fund? The fund’s strategy focuses on investing in medium- to long-term fixed income instruments, including treasury bonds, treasury bills, corporate bonds, certificates of deposit, repurchase agreements, and bank deposits. The majority of assets are allocated to these instruments to generate stable returns, while diversification is used to reduce risk and enhance portfolio efficiency.
What are the investment limits of Thabat Fund? The fund operates within defined investment limits reflecting its fixed income nature. Up to 95% of assets may be invested in treasury bonds, 40% in treasury bills, 40% in corporate bonds, 60% in certificates of deposit, and 25% in bank deposits. Additionally, up to 40% may be allocated to repurchase agreements and 20% to other fixed income instruments or similar funds. This structure provides flexibility while maintaining a primary focus on debt instruments.
Both individuals and corporate investors benefit from full tax exemption on all returns generated by the fund, enhancing net profitability and making the investment more efficient and attractive.
Thabat Fund CIB fund details
Thabat Fund CIB is managed by سي آي لإدارة الأصول. The asset manager oversees portfolio decisions and fund operations for Thabat Fund CIB.
Thabat Fund CIB is classified as a fixed_income fund, which shapes its risk profile and investment universe.
Investors can identify Thabat Fund CIB in market data using fund code CTH.
Thabat Fund CIB reports assets under management of 146366846.
The minimum investment amount to participate in Thabat Fund CIB is وثيقة واحدة.
Thabat Fund CIB was launched on 9/5/2011, giving investors a track record to evaluate long-term performance.
Thabat Fund CIB performance summary
Return over 1 week: +0.2062%. Return over 1 month: +0.9228%. Return over 3 months: +2.5405%. Return over 6 months: +5.2209%. Return over 1 year: +14.3193%. Return over since inception: +501.8176%.
Use this SNDUK fund page to review Thabat Fund CIB returns, manager details, and strategy before investing.
SNDUK publishes Thabat Fund CIB data to help investors compare Egyptian investment funds with transparent performance and fund information.
