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Bank of Beirut Common Shares| updated on: 6 November 2020
  • Country: Lebanon
  • Ordinary Common shares: 56,234,900
  • Priority Common Shares: 4,762,000
  • Listed common shares (Including priority shares): 25,558,417
  • Date of Initial Listing: 11-Apr-97
  • Exchange: Beirut Stock Exchange
  • Share's nominal value: LBP 1,460
  • Market capitalization: USD 1,157,218,120
  • Ordinary Common Share price: USD 18.80
  • Priority Common Share Price: USD 21.00
Bank of Beirut Preferred Shares | updated on: 6 November 2020
  • Series
  • Description
  • Closing Date*
  • Number
    of Shares
  • Issue
    Price / Share
  • Issue Size
    (USD million)
  • Call
    Price / Share
  • Dividend
    Rate
  • Market
    Price
  • G
  • Non cumulative, Perpetual, Redeemable, Convertible**
  • 29-12-2010
  • 3,570,000
  • $35.00
  • 124.95
  • $35.00
  • 6.75%
  • $35.00
  • H
  • Non cumulative, Perpetual, Redeemable,Non Convertible & Listed
  • 28-09-2011
  • 5,400,000
  • $25.00
  • 135.00
  • $25.00
  • 7%
  • $25.00
  • I
  • Non cumulative, Perpetual, Redeemable,Non Convertible & Listed
  • 28-12-2012
  • 5,000,000
  • $25.00
  • 125.00
  • $25.00
  • 6.75%
  • $25.00
  • J
  • Non cumulative, Perpetual, Redeemable,Non Convertible & Listed
  • 26-12-2014
  • 3,000,000
  • $25.00
  • 75.00
  • $25.00
  • 6.50%
  • $25.00
  • K
  • Non cumulative, Perpetual, Redeemable,Non Convertible & Listed
  • 25-08-2016
  • 4,000,000
  • $25.00
  • 100.00
  • $25.00
  • 6.50%
  • $25.00



*Is the date of the bank's Extraordinary General Meeting of shareholders that verifies the validity and ascertains the payment of Capital increase related to the issuance. Click to view the term sheet for: Preferred Shares Series G, Preferred Shares Series H, Preferred Shares Series I, Preferred Shares Series J, and Description of Preferred Shares Series K

**Conversion date on 30 Dec 2015

Bank of Beirut - Asset Management Funds| updated on: 31 October 2020
  • Series
  • Description
  • Date Issued
  • Maturity
    Date
  • Initial NAV
    / Share
  • Current Nav
    / Share
  • Cumulative Performance
  • YTD Performance
  • Funds in LBP Currency
  • Optimal Investment Fund II
  • Open Ended Fund
  • 01-04-2010
  • Undetermined
  • 100,000
  • LBP 78,234.27
  • 60.16%
  • -6.49%
  • BoB LBP Growth Fund Class A
  • Open Ended Fund
  • 01-01-2015
  • Undetermined
  • 100,000
  • LBP 173,645.40
  • 73.65%
  • 10.37%
  • BoB LBP Growth Fund Class B
  • Open Ended Fund
  • 01-01-2015
  • Undetermined
  • 100,000
  • LBP 108,851.51
  • 54.86%
  • 10.11%
  • Funds in USD Currency
  • Beirut Preferred Fund II
  • Open Ended Fund
  • 01-07-2013
  • Undetermined
  • 1000
  • USD 382.99
  • -21.88%
  • -32.86%

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