Compare funds with real pricing, real history, and clearer decisions.

Compare funds through normalized performance, updated returns, manager context, and clean multi-fund analytics.

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Comparisons people run most

Each pair is two funds of the same type, so the comparison is between real alternatives. Ranked by one-year return.

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How do I compare two mutual funds in Egypt?

Pick two or more funds of the same type — money market against money market, equity against equity — then compare net asset value, one-year and three-year returns, the management fee, and the manager. Comparing funds of different types measures the asset class, not the fund.

What does NAV mean when comparing funds?

NAV is the net asset value of one unit. A higher NAV does not mean a better fund: it reflects the unit price, not performance. Compare the percentage return over the same period instead.

Do management fees change the comparison?

Yes. Published returns on this site are the fund manager’s reported figures. Two funds with the same gross performance and different management fees do not leave the investor in the same place, so the fee is shown alongside every return.