
Thndr EGX70 Equity Fund
Managed by Thndr Asset Management
Latest NAV
10EGP
as of Delayed · 59d
Return
—
Total NAV return
52-week low: 9.8445 · 52-week high: 10
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Risk & Volatility
Max drawdown (all-time, peak-to-trough)
-0.08%
Volatility (annualized, full history)
1.25%
Downside deviation (annualized)
0.38%
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.

ثاندر لإدارة الأصول
Established
2025
Assets under management
47,165,263 EGP
Funds managed
1
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.
77/100
Starta Score
Strong
Performance62/100
Score from recent growth, adjusted for drawdown riskWeighted annual return: +25.10%
Risk96/100
Lower volatility & shallower drawdowns score higherVolatility: 1.25%
Stability94/100
Steadier, more consistent returns score higherPositive periods: 89.47%
Cost—/100
Lower ongoing fees score higherOngoing fee: Not enough history yet
DiversificationEstimate50/100
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.
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Frequently asked questions
- What is the latest NAV of Thndr EGX70 Equity Fund?
- The latest NAV of Thndr EGX70 Equity Fund is 10 EGP as of 28 May 2026.
- Who manages Thndr EGX70 Equity Fund?
- Thndr EGX70 Equity Fund is managed by Thndr Asset Management.