Combining our strength and expertise, we present our clients with best-in-class products and services, tailoring to their needs and aiming to maximize their international goals in a rapidly changing environment.
One of the leading online brokerage companies in Egypt
Arabeya Online, one of the leading online brokerage companies in Egypt, draws on 10 years of experience to serve as the preeminent securities brokerage company in Egypt, Providing a wide spectrum of services to our retail and institutional clients.
Founded in 2006, AOLb is the online trading market leader in Egypt, a subsidiary of NI Capital Holding. The company offers a comprehensive array of products including conditional orders, mobile trading and margin trading.
Market News
Tamweel Securitization 1st Iss 4th Pro Tranche B Nov 2027 (EGBTMSC1P4BCV) Declares Bond Dividends for Coupon No. (4)
Tamweel Securitization First issue Third program Tranche C Dec 2027 (EGBTMSC1P3CCF) Declares Bond Dividends for Coupon No. (15)
Issuer Name : Tamweel Securitization First issue Third program Tranche C Dec 2027 ISIN Code : EGB69781S247 Reuters Code : EGBTMSC1P3CCF Interest Type : Fixed Coupon Interest : 22.55% Coupon Amount : EGP 1.9152054795 Coupon Number : 15 Coupon Date : 30/03/2025 Coupon Payment Date : 31/03/2025
Tamweel Securitization 1st Issue 1st Prog Tranche C Dec2026 (TAMSEC1P1C=CA) Declares Bond Dividends for Coupon No. (38)
EFG Hermes Securitization Second Issue - Second program Tranche B Oct 2026 (EGBFGSC2P2BCV) Declares Bond Dividends for Coupon No. (9)
Issuer Name : EFG Hermes Securitization Second Issue - Second program Tranche B Oct 2026 ISIN Code : EGB69561S565 Reuters Code : EGBFGSC2P2BCV Interest Type : Floating Coupon Interest : 26.75% Coupon Amount : EGP 1.3802084471 Coupon Number : 9 Coupon Date : 14/04/2025 Coupon Payment Date : 15/04/2025 Notes : Bond Redemption: EGP 4.5157854490
EFG Hermes Securitization Second Issue - Second program Tranche C Aug 2029 (EGBFGSC2P2CCV) Declares Bond Dividends for Coupon No. (9)
EFG Hermes Securitization Second Issue - Second program Tranche C Aug 2029 (EGBFGSC2P2CCV) Declares Bond Dividends for Coupon No. (9)
Issuer Name : EFG Hermes Securitization Second Issue - Second program Tranche C Aug 2029 ISIN Code : EGB69561S573 Reuters Code : EGBFGSC2P2CCV Interest Type : Floating Coupon Interest : 27.25% Coupon Amount : EGP 2.021086712 Coupon Number : 9 Coupon Date : 14/04/2025 Coupon Payment Date : 15/04/2025
EFG Hermes Securitization The Third Issuance - Third Program Tranche B November 2025 (EGFIGRSC3P3B=CA) Declares Bond Dividends for Coupon No. (20)
EFG Hermes Securitization The Third Issuance - Third Program Tranche B November 2025 (EGFIGRSC3P3B=CA) Declares Bond Dividends for Coupon No. (20)
Issuer Name : EFG Hermes Securitization The Third Issuance - Third Program Tranche B November 2025 ISIN Code : EGB69561S318 Reuters Code : EGFIGRSC3P3B=CA Interest Type : Fixed Coupon Interest : 15.5% Coupon Amount : EGP 0.2048513094 Coupon Number : 20 Coupon Date : 16/04/2025 Coupon Payment Date : 17/04/2025 Notes : Bond Redemption: EGP 5.6382905983
EFG Hermes Securitization The First Issuance - Second Program Tranche C January 2026 (EGFIGRSC01P2C=CA) Declares Bond Dividends for Coupon No. (42)
EFG Hermes Securitization The First Issuance - Second Program Tranche C January 2026 (EGFIGRSC01P2C=CA) Declares Bond Dividends for Coupon No. (42)
Issuer Name : EFG Hermes Securitization The First Issuance - Second Program Tranche C January 2026 ISIN Code : EGB69561S102 Reuters Code : EGFIGRSC01P2C=CA Interest Type : Fixed Coupon Interest : 10.4% Coupon Amount : EGP 0.3430337683 Coupon Number : 42 Coupon Date : 10/04/2025 Coupon Payment Date : 13/04/2025 Notes : Bond Redemption: EGP 4.7714285714
EFG Hermes Securitization The Third Issuance - Third Program Tranche C November 2029 (EGFIGRSC3P3C=CA) Declares Bond Dividends for Coupon No. (20)
EFG Hermes Securitization The Third Issuance - Third Program Tranche C November 2029 (EGFIGRSC3P3C=CA) Declares Bond Dividends for Coupon No. (20)
Issuer Name : EFG Hermes Securitization The Third Issuance - Third Program Tranche C November 2029 ISIN Code : EGB69561S326 Reuters Code : EGFIGRSC3P3C=CA Interest Type : Fixed Coupon Interest : 16.1% Coupon Amount : EGP 1.3673972594 Coupon Number : 20 Coupon Date : 16/04/2025 Coupon Payment Date : 17/04/2025
EFG Securitization The First Issuance - Fourth Program Tranche C June 2025 (EGHRSEC1P4C=CA) Declares Bond Dividends for Coupon No. (25)
EFG Securitization The First Issuance - Fourth Program Tranche C June 2025 (EGHRSEC1P4C=CA) Declares Bond Dividends for Coupon No. (25)
Issuer Name : EFG Securitization The First Issuance - Fourth Program Tranche C June 2025 ISIN Code : EGB694K1S133 Reuters Code : EGHRSEC1P4C=CA Interest Type : Floating Coupon Interest : 28.65% Coupon Amount : EGP 0.3040925309 Coupon Number : 25 Coupon Date : 17/04/2025 Coupon Payment Date : 20/04/2025 Notes : Bond Redemption: EGP 10.1057367829
EFG Securitization The First Issuance - Fourth Program Tranche D June 2029 (EGHRSEC1P4D=CA) Declares Bond Dividends for Coupon No. (25)
EFG Securitization The First Issuance - Fourth Program Tranche D June 2029 (EGHRSEC1P4D=CA) Declares Bond Dividends for Coupon No. (25)
Issuer Name : EFG Securitization The First Issuance - Fourth Program Tranche D June 2029 ISIN Code : EGB694K1S141 Reuters Code : EGHRSEC1P4D=CA Interest Type : Floating Coupon Interest : 28.95% Coupon Amount : EGP 1.7707080471 Coupon Number : 25 Coupon Date : 17/04/2025 Coupon Payment Date : 20/04/2025
EFG Securitization The First Issuance - Fourth Program Tranche H January 2032 (EGHRSEC1P4H=CA) Declares Bond Dividends for Coupon No. (25)
EFG Securitization The First Issuance - Fourth Program Tranche H January 2032 (EGHRSEC1P4H=CA) Declares Bond Dividends for Coupon No. (25)
Issuer Name : EFG Securitization The First Issuance - Fourth Program Tranche H January 2032 ISIN Code : EGB694K1S158 Reuters Code : EGHRSEC1P4H=CA Interest Type : Floating Coupon Interest : 29.4% Coupon Amount : EGP 2.0484275716 Coupon Number : 25 Coupon Date : 17/04/2025 Coupon Payment Date : 20/04/2025