Banque Misr Mutual Fund 2

Managed by CI Capital Asset Management

Equity FundCompare
Latest NAV
23.85EGP

as of

YTD return
33.76%

Total NAV return

52-week low: 14.7493 · 52-week high: 23.97

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Full NAV history — annual closes and latest published values →

Latest published NAVs
DateNAVChange
23.85-0.50%
23.97+0.29%
23.9+0.55%
23.77+0.64%
23.62+0.17%
23.58+0.43%
23.48+0.47%
23.37+0.04%
23.360.00%
23.36-0.04%
23.37-0.43%
23.47

Last ingested: 10 September 2026 at 08:10

1M
1.58%
3M
7.97%
YTD
33.76%
1Y
61.36%
3Y
233.45%
5Y
452.16%

Investment strategy

The fund invests in stocks, bonds and documents of local and international investment in the Egyptian pound and convertible foreign currencies.

Fees

Management fee
2.00%
Subscription fee
0.00%
Redemption fee
0.75%

Risk & Volatility

Max drawdown (all-time, peak-to-trough)
-50.88%
Volatility (annualized, full history)
23.48%
Downside deviation (annualized)
12.73%

Computed from our full NAV history. Max drawdown is the worst peak-to-trough decline; volatility is annualized by the fund's NAV reporting frequency.

C

CI Capital Asset Management

Detailed information about this manager is being collected.

Fund scorecard

Five dimensions, each scored 0–100 from our own NAV history. Higher is better on every axis — and we show the real number behind each score.

High confidence
58/100
Starta Score
Average
Performance78/100
Score from recent growth, adjusted for drawdown riskWeighted annual return: ⁦+43.50%⁩
Risk40/100
Lower volatility & shallower drawdowns score higherVolatility: ⁦23.48%⁩
Stability56/100
Steadier, more consistent returns score higherPositive periods: ⁦54.70%⁩
Cost45/100
Lower ongoing fees score higherOngoing fee: ⁦2.00%⁩
DiversificationEstimate58/100
Estimated from the fund’s mandate & asset class
How we score

Five dimensions, each scored 0–100 from our own NAV history. Higher is better on every axis — and we show the real number behind each score. Higher is better.

Where to Invest

Subscription & redemption channels
بنك مصر
Trading schedule
Purchase frequency
Daily
Redemption frequency
Daily

Channels & prospectus as published by the fund manager. Verify terms before investing.

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Frequently asked questions

What is Banque Misr Mutual Fund 2's unit price today?
Banque Misr Mutual Fund 2's unit price is EGP 23.85 as of 8 September 2026, with a +61.36% return over the last 12 months. The price updates with every NAV disclosure.
What is the latest NAV of Banque Misr Mutual Fund 2?
The latest NAV of Banque Misr Mutual Fund 2 is 23.85 EGP as of 8 September 2026.
Who manages Banque Misr Mutual Fund 2?
Banque Misr Mutual Fund 2 is managed by CI Capital Asset Management.
What type of fund is Banque Misr Mutual Fund 2?
Banque Misr Mutual Fund 2 is an Equity Fund.