Karachi, September 19, 2012 (PPI-OT): We have to inform you that the Board of Directors of our Modaraba Management Company in their meeting held on 19 September 2012 at 10:30 a.m., at Room No. 405, 4th Floor, Beaumont Plaza, Civil Lines Quarters, Beaumont Road, Karachi recommended the following; Cash Dividend …
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South Asia Partnership Pakistan Forum Highlights significance of mobile
Karachi, September 19, 2012 (PPI-OT): The business scenario is changing drastically throughout the globe with the advent of technological solutions. This was emphasized at the SAP Forum, which redefined the business environment of Pakistan by highlighting the significance of mobile, in-memory and ERP solutions. Companies need to invest additionally in …
Read More »ABL Asset Management Limited – Daily Fund Prices in Pakistani Rupees as of Sep 19, 2012
Karachi, Sep 19, 2012 (PPI-OT): Date Offer Redemption ABL Income Fund (ABL-IF) Sep 19, 2012 10.3395 10.3395 ABL Stock Fund (ABL-SF) Sep 19, 2012 11.6054 11.2674 ABL Islamic Income Fund (ABL-IIF) Sep 19, 2012 10.2764 10.2764 ABL Government Securities Fund (ABL-GSF A) Sep 19, 2012 10.0624 10.0624 ABL Government Securities …
Read More »PICIC Asset Management Company Limited – Daily Fund Prices PKR as of Sep 19, 2012
Karachi, Sep 19, 2012 (PPI-OT): Date Offer Redemption NAV PICIC Income Fund Sep 19, 2012 103.0444 103.0444 PICIC Cash Fund Sep 20, 2012 101.9532 100.9438 PICIC Stock Fund Sep 19, 2012 112.9725 109.6820 PICIC Growth Fund Sep 19, 2012 26.0900 PICIC Investment Fund Sep 19, 2012 11.9900 PICIC Energy Fund …
Read More »Pak Oman Asset Management – Daily Fund as on Sep 19, 2012
Karachi, Sep 19, 2012 (PPI-OT): Date Offer Redemption NAV Pak OMAN Government Securities Fund (POGSF) Sep 19, 2012 10.3664 10.3664 Pak Oman Advantage Fund Islamic Income (POAIIF) Sep 19, 2012 52.9960 52.4660 Pak Oman Advantage Asset Allocation Fund (POAAAF) Sep 19, 2012 53.55 52.21 Pak Oman Islamic Asset Allocation Fund …
Read More »Daily Net Asset Value in Pakistani Rupees for Sep 19, 2012
Karachi, Sep 19, 2012 (PPI-OT): Fund Name Date Offer Price Redemption Price NAFA Money Market Fund Sep 19, 2012 10.0916 10.0916 NAFA Government Securities Liquid Fund Sep 19, 2012 10.1112 10.1112 NAFA Savings Plus Fund Sep 19, 2012 10.0954 10.0954 NAFA Financial Sector Income Fund Sep 19, 2012 10.4372 10.3339 …
Read More »Atlas Asset Management – Daily Fund Price as on Sep 19, 2012
Karachi, Sep 19, 2012 (PPI-OT): Date Offer Redemption NAV Atlas Money Market Fund Sep 19, 2012 506.91 506.91 506.91 Atlas Income Fund Sep 19, 2012 520.62 515.47 515.47 Atlas Stock Market Fund Sep 19, 2012 398.00 390.20 390.20 Atlas Islamic Income Fund Sep 19, 2012 520.83 515.67 515.67 Atlas Islamic …
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