Karachi, October 20, 2016 (PPI-OT):
Name of the Fund Date Sale Repurchase
National Investment (Unit) Trust (NIUT) October 20, 2016 78.70 76.41
National Investment Trust – Income Fund (NIT-IF) October 20, 2016 10.5437 10.4393
National Investment Trust – Government Bond Fund (NIT-GBF) October 20, 2016 10.1827 10.0809
National Investment Trust Limited (NIT-IEF) October 20, 2016 11.21 11.21
National Investment Trust Limited (NIT-GTF) October 21, 2016 10.1730 10.1730
National Investment Trust Limited (NIT-IIF) October 20, 2016 10.1419 10.1419
Sub Fund NAV
National Investment Trust Limited – Islamic Pension Fund October 20, 2016 (NIT-IPFESF) 11.4197
National Investment Trust Limited – Islamic Pension Fund October 20, 2016 (NIT-IPFMSF) 10.3978
National Investment Trust Limited – Pension Fund October 20, 2016 (NIT-IPFDSF) 10.4746
National Investment Trust Limited – Pension Fund October 20, 2016 (NIT-PFESF) 10.7392
National Investment Trust Limited – Pension Fund October 20, 2016 (NIT-PFMSF) 10.5257
National Investment Trust Limited – Pension Fund October 20, 2016 (NIT-PFCSF) 10.5500
National Investment Trust Limited – Pension Fund October 20, 2016 (NIT-PFCSF)
For more information, contact:
NBP Building, 6th Floor,
I.I. Chundrigarh Road,
Karachi- Pakistan
Tel: 111 NIT NIT (111-648-648)
Fax: +9221 3242 2719
Email: info@namco.com.pk
Web: http://www.nit.com.pk/