Karachi: Please find enclosed announcement of distribution approved by the Board of Directors of Alfalah GHP Investment Management Limited (ALFALAHGHP), the Management Company of the Alfalah GHP Income Multiplier Fund for the year ended 30, June 2011. Alfalah GHP Income Multiplier Fund (AGIMF) Financial Result for the Year Ended 30 …
Read More »Daily Archives: August 29, 2011
Karachi Water and Sewerage Board trying to hide its inefficiencies by continuously pointing fingers: Karachi Electric Supply Company Limited
Karachi: The Karachi Electric Supply Company has earmarked its important and critical customers as being ‘Strategic’ in nature, of them KWSB being on the top of the list. Such strategic installations are exempted for any and all sort of load shedding, whether planned or otherwise. KWSB is on the top …
Read More »ABL Asset Management Limited – Daily Fund Prices in Pakistani Rupees as of Aug 29, 2011
Karachi: Date Offer NAV ABL Income Fund (ABL-IF) Aug 29, 2011 10.2292 10.2292 ABL Stock Fund (ABL-SF) Aug 29, 2011 9.7149 9.4319 ABL Islamic Cash Fund (ABL-ICF) Aug 29, 2011 10.1938 10.1938 ABL Cash Fund (ABL-CF) Aug 30, 2011 10.2156 10.2156 For more information, contact: ABL Asset Management …
Read More »PICIC Asset Management Company Limited – Daily Fund Prices PKR as of Aug 29, 2011
Karachi: Date Offer Redemption NAV PICIC Income Fund Aug 29, 2011 102.5173 102.5173 PICIC Cash Fund Aug 30, 2011 101.2688 100.2661 PICIC Growth Fund (PGF) Aug 29, 2011 – – 24.2000 PICIC Investment Fund (PIF) Aug 29, 2011 – – 11.1600 PICIC Energy Fund (PEF) Aug 29, 2011 – …
Read More »Pak Oman Asset Management – Daily Fund as on Aug 29, 2011
Karachi: Date Offer Redemption NAV Pak OMAN Government Securities Fund (POGSF) Aug 29, 2011 10.1127 10.1127 Pak Oman Advantage Fund Islamic Income (POAIIF) Aug 29, 2011 51.9866 51.4667 Pak Oman Advantage Asset Allocation Fund (POAAAF) Aug 29, 2011 48.55 47.34 Pak Oman Islamic Asset Allocation Fund (POIAAF) Aug 29, …
Read More »Atlas Asset Management – Daily Fund Price as on Aug 29, 2011
Karachi: Date Offer Redemption NAV Atlas Money Market Fund Aug 29, 2011 502.77 502.77 502.77 Atlas Income Fund Aug 29, 2011 486.06 481.25 481.25 Atlas Stock Market Fund Aug 29, 2011 317.43 311.21 311.21 Atlas Islamic Income Fund Aug 29, 2011 515.41 510.31 510.31 Atlas Islamic Stock Fund* Aug …
Read More »JS Investment Limited – Fund Prices as on Aug 29, 2011
Karachi: Fund Date Offer Redemption Unit Trust Of Pakistan Aug 29, 2011 98.8 95.92 JS Income Fund Aug 29, 2011 88.72 87.84 JS Aggressive Income Fund Aug 29, 2011 86.97 86.01 JS Aggressive Asset Allocation Fund Aug 29, 2011 22.0 21.35 JS Islamic Fund Aug 29, 2011 39.21 38.06 …
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