Karachi, October 22, 2012 (PPI-OT): COMPANIES KSE KSE-30 KSE-100 KSE-ALLSHARES KMI-30 BATi OGTi POSITION INDICES INDEX INDEX INDEX INDEX INDEX INDEX Plus 175 Current 12913.70 15848.63 11148.72 27766.57 8983.45 14535.50 Minus 133 Previous 12947.33 15792.75 11092.89 27792.12 8950.22 14420.24 Unchanged 18 High 13003.15 15878.94 11159.38 27864.38 9006.55 14560.16 Total 326 …
Read More »Daily Archives: October 22, 2012
ABL Asset Management Limited – Daily Fund Prices in Pakistani Rupees as of Oct 22, 2012
Karachi, Oct 22, 2012 (PPI-OT): Date Offer Redemption ABL Income Fund (ABL-IF) Oct 22, 2012 10.1003 10.1003 ABL Stock Fund (ABL-SF) Oct 22, 2012 11.8104 11.4664 ABL Islamic Income Fund (ABL-IIF) Oct 22, 2012 10.1172 10.1172 ABL Government Securities Fund (ABL-GSF A) Oct 22, 2012 10.0658 10.0658 ABL Government Securities …
Read More »Islamabad Stock Exchange Market Statistics Report Monday October 22, 2012
Islamabad, October 22, 2012 (PPI-OT): MARKET TREND: Bearish COMPANIES TRADED: TOTAL PLUS MINUS EQUAL 129 70 -59 0 INDEX POSITION: INDEX Opening Closing Change ISE-10 Index: 3093.09 3115.15 (22.06) TOTAL VOLUME: Previous Current Change 368,100 233,600 (134,500) VOLUME LEADERS: Company VOLUME of Shares Karachi Electric Supply 200,000 Bank of Punjab …
Read More »PICIC Asset Management Company Limited – Daily Fund Prices PKR as of Oct 22, 2012
Karachi, Oct 22, 2012 (PPI-OT): Date Offer Redemption NAV PICIC Income Fund Oct 22, 2012 101.6209 101.6209 PICIC Cash Fund Oct 23, 2012 102.0971 101.0862 PICIC Stock Fund Oct 22, 2012 113.3284 110.0276 PICIC Growth Fund Oct 22, 2012 26.0500 PICIC Investment Fund Oct 22, 2012 11.9800 PICIC Energy Fund …
Read More »Pak Oman Asset Management – Daily Fund as on Oct 22, 2012
Karachi, Oct 22, 2012 (PPI-OT): Date Offer Redemption NAV Pak OMAN Government Securities Fund (POGSF) Oct 22, 2012 10.1533 10.1533 Pak Oman Advantage Fund Islamic Income (POAIIF) Oct 22, 2012 52.4508 51.9263 Pak Oman Advantage Asset Allocation Fund (POAAAF) Oct 22, 2012 54.76 53.39 Pak Oman Islamic Asset Allocation Fund …
Read More »Daily Net Asset Value in Pakistani Rupees for Oct 22, 2012
Karachi, Oct 22, 2012 (PPI-OT): Fund Name Date Offer Price Redemption Price NAFA Money Market Fund Oct 22, 2012 10.1449 10.0944 NAFA Government Securities Liquid Fund Oct 22, 2012 10.1088 10.1088 NAFA Savings Plus Fund Oct 22, 2012 10.1390 10.0886 NAFA Financial Sector Income Fund Oct 22, 2012 10.5487 10.0931 …
Read More »JS Investment Limited – Fund Prices as on Oct 22, 2012
Karachi, Oct 22, 2012 (PPI-OT): Date Offer Redemption NAV Unit Trust of Pakistan Oct 22, 2012 116.52 113.12 113.12 JS Income Fund Oct 22, 2012 88.96 88.07 88.07 JS Aggressive Income Fund Oct 22, 2012 104.21 103.17 103.17 JS Islamic Fund Oct 22, 2012 56.73 55.07 55.07 JS Aggressive Asset …
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