Karachi, November 23, 2016 (PPI-OT):
Name of the Fund Date Offer Nav Price Redemption
HBL Income Fund November 23, 2016 109.5034 107.6783 107.6783
HBL Stock Fund November 23, 2016 119.4617 116.1796 116.1796
HBL Multi Asset Fund November 23, 2016 108.5506
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