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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.
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Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The First Issuance - The Thirteenth Program May 2026 F.R
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The First Issuance - The Thirteenth Program May 2026 F.R
According to the letter received from the MCDR on 2025/12/30 by the periodical partial redemption (installment no. 7) for the listed bonds of Capital For Securitization The First Issuance - The Thirteenth Program May 2026 F.R. The total listed value of the bonds after the partial redemption becomes EGP 162,887,286.24 distributed over 4,975,000 bonds at a par value of EGP 32.74116. These modifications will be applied to EGX database effective 31/12/2025 trading session. This bond tranche has been locally rated by MERIS as (A-) ، at a fixed annual Return rate of 23 % to be paid monthly Starting from the Second Month of The Issuance. ISIN Code: EGB69611S1P3
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Second Issue-First Program Tranche C December 2026
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Second Issue-First Program Tranche C December 2026
According to the letter received from the MCDR on 2025/12/30 by the periodical partial redemption (installment no. 12) for the listed bonds of Capital For Securitization The Second Issue-First Program Tranche C December 2026. The total listed value of the bonds after the partial redemption becomes EGP 299,400,000.00 distributed over 7,619,000 bonds at a par value of EGP 39.29649. These modifications will be applied to EGX database effective 31/12/2025 trading session. This bond tranche has been locally rated by MERIS as (AA-) ، at a variable annual Return rate equal to according to the Lending Rate announced by the Central Bank + Margin 0.45 % to be paid monthly. ISIN Code: EGB69611S238
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The First Issuance - Fifth Program Tranche B December 2026 F.R
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The First Issuance - Fifth Program Tranche B December 2026 F.R
According to the letter received from the MCDR on 2025/12/30 by the periodical partial redemption (installment no. 13) for the listed bonds of Capital For Securitization The First Issuance - Fifth Program Tranche B December 2026 F.R. The total listed value of the bonds after the partial redemption becomes EGP 312,392,994.75 distributed over 6,956,000 bonds at a par value of EGP 44.90986. These modifications will be applied to EGX database effective 31/12/2025 trading session. This bond tranche has been locally rated by MERIS as (AA) ، at a fixed annual Return rate of 22.5 % to be paid monthly starting from the First month of the Issuance. ISIN Code: EGB69611S600
Periodic Partial Redemption for the Listed Bonds Of Capital For Securitization The Third Issuance - Third Program Tranche W August 2026 F.R
Periodic Partial Redemption for the Listed Bonds Of Capital For Securitization The Third Issuance - Third Program Tranche W August 2026 F.R
According to the letter received from the MCDR on 2025/12/30 by the periodical partial redemption (installment no. 1) for the listed bonds of Capital For Securitization The Third Issuance - Third Program Tranche W August 2026 F.R. The total listed value of the bonds after the partial redemption becomes EGP 59,254,000.00 distributed over 689,000 bonds at a par value of EGP 86.00000. These modifications will be applied to EGX database effective 31/12/2025 trading session. This bond tranche has been locally rated by MERIS as (A-) ، at a fixed annual Return rate of 23.25% to be paid monthly starting from the month Following the Month of the Issuance. ISIN Code: EGB69611S675
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Second Issuance - Third Program Tranche D April 2026 Fixed Return
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Second Issuance - Third Program Tranche D April 2026 Fixed Return
According to the letter received from the MCDR on 2025/12/30 by the periodical partial redemption (installment no. 15) for the listed bonds of Capital For Securitization The Second Issuance - Third Program Tranche D April 2026 Fixed Return. The total listed value of the bonds after the partial redemption becomes EGP 83,512,000.00 distributed over 3,796,000 bonds at a par value of EGP 22.00000. These modifications will be applied to EGX database effective 31/12/2025 trading session. This bond tranche has been locally rated by MERIS as (A) ، at a fixed annual Return rate of 23.25 % to be paid monthly. ISIN Code: EGB69611S501
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Fourth Issuance - Seventh Program Tranche A March 2026 F.R
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Fourth Issuance - Seventh Program Tranche A March 2026 F.R
According to the letter received from the MCDR on 2025/12/30 by the periodical partial redemption (installment no. 3) for the listed bonds of Capital For Securitization The Fourth Issuance - Seventh Program Tranche A March 2026 F.R. The total listed value of the bonds after the partial redemption becomes EGP 537,678,000.00 distributed over 9,957,000 bonds at a par value of EGP 54.00000. These modifications will be applied to EGX database effective 31/12/2025 trading session. This bond tranche has been locally rated by MERIS as (P1) ، at a fixed annual Return rate of 22.4 % to be paid monthly. ISIN Code: EGB69611S2I6
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Third Issuance - The Twelveth Program Tranche A March 2026 F.R
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Third Issuance - The Twelveth Program Tranche A March 2026 F.R
According to the letter received from the MCDR on 2025/12/30 by the periodical partial redemption (installment no. 3) for the listed bonds of Capital For Securitization The Third Issuance - The Twelveth Program Tranche A March 2026 F.R. The total listed value of the bonds after the partial redemption becomes EGP 445,900,000.00 distributed over 6,370,000 bonds at a par value of EGP 70.00000. These modifications will be applied to EGX database effective 31/12/2025 trading session. This bond tranche has been locally rated by MERIS as (P1) ، at a fixed annual Return rate of 22.40 % to be paid monthly. ISIN Code: EGB69611S2N6
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Third Issuance - Fourth Program Tranche D April 2026 V.R
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Third Issuance - Fourth Program Tranche D April 2026 V.R
According to the letter received from the MCDR on 2025/12/30 by the periodical partial redemption (installment no. 2) for the listed bonds of Capital For Securitization The Third Issuance - Fourth Program Tranche D April 2026 V.R. The total listed value of the bonds after the partial redemption becomes EGP 488,320,000.00 distributed over 7,630,000 bonds at a par value of EGP 64.00000. These modifications will be applied to EGX database effective 31/12/2025 trading session. This bond tranche has been locally rated by MERIS as (A-) ، at a variable annual Return rate equal to the Lending Rate announced by the Central Bank + Margin 1 % to be paid monthly starting from the month Following the Month of the Issuance (Maximum of 31.25% and Minimum of 25.25%). ISIN Code: EGB69611S0M2
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Second Issuance - Fourth Program Tranche H May 2026 V.R
Periodic Partial Redemption for the Listed Bonds of Capital For Securitization The Second Issuance - Fourth Program Tranche H May 2026 V.R
According to the letter received from the MCDR on 2025/12/30 by the periodical partial redemption (installment no. 2) for the listed bonds of Capital For Securitization The Second Issuance - Fourth Program Tranche H May 2026 V.R. The total listed value of the bonds after the partial redemption becomes EGP 172,020,000.00 distributed over 3,660,000 bonds at a par value of EGP 47.00000. These modifications will be applied to EGX database effective 31/12/2025 trading session. This bond tranche has been locally rated by MERIS as (A-) ، at a variable annual Return rate equal to the Lending & Discount Rate announced by the Central Bank + Margin 1.25 % to be paid monthly (Maximum of 31.5% and Minimum of 27.5%). ISIN Code: EGB69611S881
Insider Trading Executions for: Union Pharmacist Company For Medical Services and Investment
Insider Trading Executions for: Union Pharmacist Company For Medical Services and Investment
Insider Trading Executions: Trading Session 30/12/2025
Company Name: Union Pharmacist Company For Medical Services and Investment
Position: insider
Transaction: sold
Number of Shares: 23323
Insider Trading Executions for: Digitize for Investment And Technology
Insider Trading Executions for: Digitize for Investment And Technology
Insider Trading Executions: Trading Session 30/12/2025
Company Name: Digitize for Investment And Technology
Position: insider
Transaction: sold
Number of Shares: 227958
Insider Trading Executions for: Arab Co. for Asset Management And Development
Insider Trading Executions for: Arab Co. for Asset Management And Development
Insider Trading Executions: Trading Session 30/12/2025
Company Name: Arab Co. for Asset Management And Development
Position: insider
Transaction: buy
Number of Shares: 3200000
Insider Trading Executions for: Arab Co. for Asset Management And Development
Insider Trading Executions for: Arab Co. for Asset Management And Development
Insider Trading Executions: Trading Session 30/12/2025
Company Name: Arab Co. for Asset Management And Development
Position: insider
Transaction: sold
Number of Shares: 2900000
Insider Trading Executions for: Cleopatra Hospital Company
Insider Trading Executions for: Cleopatra Hospital Company
Insider Trading Executions: Trading Session 30/12/2025
Company Name: Cleopatra Hospital Company
Position: insider
Transaction: sold
Number of Shares: 50000
Insider Trading Executions for: International Co For Investment & Development
Insider Trading Executions for: International Co For Investment & Development
Insider Trading Executions: Trading Session 30/12/2025
Company Name: International Co For Investment & Development
Position: insider
Transaction: sold
Number of Shares: 1750000