Aman For Securitization Declares Bond Dividend for Fifth Issuance

Aman For Securitization, a key player in the Egyptian bond market, has announced the declaration of bond dividends for its fifth issuance, specifically Tranche D, maturing in August 2027. This move, in line with the company's financial calendar and commitment to stakeholders, underscores its ability to maintain investor confidence through timely dividend payments. The coupon amount, pegged at EGP 2.2294520548, is scheduled for payment on July 31, 2025, following the coupon date of July 30, 2025.

Key Takeaways:

  • Aman For Securitization declared bond dividends for its fifth issuance, Tranche D, maturing in August 2027.
  • The coupon amount is EGP 2.2294520548 and is scheduled for payment on July 31, 2025.
  • The coupon type is floating, set at 26.25%, reflecting the dynamic nature of the bond market and the issuer's responsiveness to economic conditions.
  • The bond issuance, identified by ISIN code EGB697J1S190 and Reuters code EGBAMSC5P1DCV, is part of a structured finance solution designed to cater to the investor base.
  • The declaration is in line with Aman For Securitization's financial calendar and commitment to stakeholders, showcasing its ability to maintain investor confidence.
  • The company's strategic move is anticipated to have a moderate impact on the market, given the defined interest parameters and the significance of a floating interest type in the current economic climate.
  • Aman For Securitization's ongoing financial strategies within the designated market category are crucial in maintaining investor confidence.
  • The payment date of July 31, 2025, is critical in assessing the implications of this announcement on the bond's performance and the issuer's future financial activities.

Statistics:

  • EGP 2.2294520548: the coupon amount for the bond dividend.
  • July 30, 2025: the coupon date.
  • July 31, 2025: the payment date of the coupon.
  • 26.25%: the floating interest rate set for the coupon.
  • August 2027: the maturity date of Tranche D.
  • EGB697J1S190: the ISIN code for the bond issuance.
  • EGBAMSC5P1DCV: the Reuters code for the bond issuance.

Sources:

  • Egyptian Exchange (EGX)
  • Aman For Securitization