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Frequently Asked Questions

can vary depending on the type of mutual fund you invest in, your investment goals, and the market conditions. Here are some key risks associated with mutual funds:
  • Market Risk
  • Credit Risk
  • Interest Rate Risk
  • Liquidity Risk
  • Concentration Risk
  • Reinvestment Risk
It's important to understand the specific risks associated with the type of mutual fund you are considering and to align your investment choices with your risk tolerance, investment objectives, and time horizon.  

Returns represent the total net profits or losses (in some types of mutual funds) achieved against the invested amount during a specific period. To view the returns for the mutual funds offered by the bank

Mutual funds are investment vehicles that pool money from multiple investors to invest in a diversified portfolio of capital market instruments, including equities listed on the stock exchange, treasury bills, treasury bonds, or other securities. Each investor in a mutual fund owns shares of the fund, representing a portion of the overall holdings. These shares are referred to as Investment Certificates, symbolizing the investor’s ownership in the mutual funds. The primary objective of mutual funds is to provide investors with access to a diversified portfolio managed by professional fund managers, reducing risk compared to investing in individual securities. Investors benefit from the collective buying power, professional management, and diversification of the fund, which can be difficult to achieve on their own.

Mutual funds come in various types, each designed to meet different investment objectives and risk profiles. The main types of mutual funds include:
  • Equity Funds (Stock Market)
  • Fixed Income Funds (Medium/Long term Debt Funds)
  • Money Market Funds (Short term Debt Funds)
  • Balanced Funds (Hybrid Funds)
  • Precious Metals Funds (Gold/Silver Funds)
 

EFG Hermes Asset Management is the fund manager for Credit Agricole I, Credit Agricole II equity funds and Credit Agricole III money market fund. With over 25 years of experience in the Egyptian market, the fund manager makes investment decisions on behalf of the investors based on through research and close monitoring of market conditions. EFG Hermes Asset Management is responsible for the performance of the funds under its management, as they handle the investment part of the fund.

Financial Statements

Separate Reports  Consolidated Reports Press Release
CAE financials Q1 2025 CAE financials Q1 2025 Consolidated Q1 2025 RESULTS
CAE financials Q4 2024 CAE financials Q4 2024 Consolidated Q4 2024 RESULTS
CAE financials Q3 2024 CAE financials Q3 2024 Consolidated Q3 2024 RESULTS
CAE financials Q2 2024 CAE financials Q2 2024 Consolidated Q2 2024 RESULTS
CAE financials Q1 2024 CAE financials Q1 2024 Consolidated Q1 2024 RESULTS
CAE financials Q4 2023 CAE financials Q4 2023 Consolidated Q4 2023 RESULTS
CAE financials Q3 2023 CAE financials Q3 2023 Consolidated Q3 2023 RESULTS
CAE financials Q2 2023 CAE financials Q2 2023 Consolidated Q2 2023 RESULTS
CAE financials Q1 2023 CAE financials Q1 2023 Consolidated Q1 2023 RESULTS
CAE financials Q4 2022 CAE financials Q4 2022 Consolidated Q4 2022 RESULTS
CAE financials Q3 2022 CAE financials Q3 2022 Consolidated Q3 2022 RESULTS
CAE financials Q2 2022 CAE financials Q2 2022 Consolidated Q2 2022 RESULTS
CAE financials Q1 2022 CAE financials Q1 2022 Consolidated Q1 2022 RESULTS
CAE financials Q4 2021 CAE financials Q4 2021 Consolidated Q4 2021 RESULTS
CAE financials Q3 2021 CAE financials Q3 2021 Consolidated Q3 2021 RESULTS
CAE financials Q2 2021 CAE financials Q2 2021 Consolidated Q2 2021 RESULTS
CAE financials Q1 2021 CAE financials Q1 2021 Consolidated Q1 2021 RESULTS
CAE financials Q4 2020 CAE financials Q4 2020 Consolidated Q4 2020 RESULTS
CAE financials Q3 2020 CAE financials Q3 2020 Consolidated Q3 2020 RESULTS
CAE financials Q2 2020 CAE financials Q2 2020 Consolidated Q2 2020 RESULTS
CAE financials Q1 2020 CAE financials Q1 2020 Consolidated Q1 2020 RESULTS
CAE financials Q4 2019 CAE financials Q4 2019 Consolidated
Q4 2019 RESULTS
CAE financials Q3 2019 CAE financials Q3 2019 Consolidated Q3 2019 RESULTS
CAE financials Q2 2019 CAE financials Q2 2019 Consolidated Q2 2019 RESULTS
CAE financials Q1 2019 CAE financials Q1 2019 Consolidated Q1 2019 RESULTS
CAE financials Q4 2018 CAE financials Q4 2018 Consolidated Q4 2018 RESULTS
CAE financials Q3 2018 CAE financials Q3 2018 Consolidated Q3 2018 RESULTS
CAE financials Q2 2018  CAE financials Q2 2018 Consolidated Q2 2018 RESULTS
CAE financials Q1 2018  CAE financials Q1 2018 Consolidated Q1 2018 RESULTS
CAE financials Q4 2017  CAE financials Q4 2017 Consolidated
Q4 2017 RESULTS
CAE financials Q3 2017 CAE financials Q3 2017 Consolidated
Q3 2017 RESULTS
CAE financials Q2 2017 CAE financials Q2 2017 Consolidated Q2 2017 RESULTS
CAE financials Q1 2017 CAE financials Q1 2017 Consolidated Q1 2017 RESULTS
CAE financials Q4 2016 CAE financials Q4 2016 Consolidated Q4 2016 RESULTS
CAE financials Q3 2016 CAE financials Q3 2016 Consolidated Q3 2016 RESULTS
CAE financials Q2 2016 CAE financials Q2 2016 Consolidated Q2 2016 RESULTS
CAE financials Q1 2016 CAE financials Q1 2016 Consolidated Q1 2016 RESULTS
CAE financials Q4 2015 CAE financials Q4 2015 Consolidated
CAE financials Q3 2015 CAE financials Q3 2015 Consolidated
CAE financials Q2 2015 CAE financials Q2 2015 Consolidated