Karachi, December 05, 2012 (PPI-OT): JCR-VIS Credit Rating Company Limited (JCR-VIS) has assigned initial entity ratings of ‘AA/A-1+’ (Double A /A-One Plus) to Arif Habib Corporation Limited (AHCL). Outlook on ratings is ‘Stable’. AHCL is the flagship company of the Arif Habib group managed by a capable and experienced management …
Read More »Daily Archives: December 5, 2012
Karachi Stock Exchange Stock Market Position on 05-12-2012
Karachi, December 05, 2012 (PPI-OT): COMPANIES KSE KSE-30 KSE-100 KSE-ALLSHARES KMI-30 BATi OGTi POSITION INDICES INDEX INDEX INDEX INDEX INDEX INDEX Plus 164 Current 13503.65 16675.70 11749.60 28573.86 9651.24 15234.63 Minus 193 Previous 13487.64 16650.15 11744.08 28617.59 9552.12 15278.22 Unchanged 12 High 13531.31 16700.02 11764.70 23653.30 9677.31 15304.02 Total 369 …
Read More »ABL Asset Management Limited – Daily Fund Prices in Pakistani Rupees as of Dec 05, 2012
Karachi, Dec 05, 2012 (PPI-OT): Date Offer Redemption ABL Income Fund (ABL-IF) Dec 05, 2012 10.2069 10.2069 ABL Stock Fund (ABL-SF) Dec 05, 2012 12.3143 11.9556 ABL Islamic Income Fund (ABL-IIF) Dec 05, 2012 10.2289 10.2289 ABL Government Securities Fund (ABL-GSF A) Dec 05, 2012 10.0173 10.0173 ABL Government Securities …
Read More »PICIC Asset Management Company Limited – Daily Fund Prices PKR as of Dec 05, 2012
Karachi, Dec 05, 2012 (PPI-OT): Date Offer Redemption NAV PICIC Income Fund Dec 05, 2012 102.6899 102.6899 PICIC Cash Fund Dec 06, 2012 101.6396 100.6333 PICIC Stock Fund Dec 05, 2012 121.3364 117.8023 PICIC Growth Fund Dec 05, 2012 27.5800 PICIC Investment Fund Dec 05, 2012 12.6300 PICIC Energy Fund …
Read More »Pak Oman Asset Management – Daily Fund as on Dec 05, 2012
Karachi, Dec 05, 2012 (PPI-OT): Date Offer Redemption NAV Pak OMAN Government Securities Fund (POGSF) Dec 05, 2012 10.2401 10.2401 Pak Oman Advantage Fund Islamic Income (POAIIF) Dec 05, 2012 52.8930 52.3641 Pak Oman Advantage Asset Allocation Fund (POAAAF) Dec 05, 2012 57.65 56.21 Pak Oman Islamic Asset Allocation Fund …
Read More »JS Investment Limited – Fund Prices as on Dec 05, 2012
Karachi, Dec 05, 2012 (PPI-OT): Date Offer Redemption NAV Unit Trust of Pakistan Dec 05, 2012 121.62 118.07 118.07 JS Income Fund Dec 05, 2012 89.88 88.99 88.99 JS Aggressive Income Fund Dec 05, 2012 105.59 104.54 104.54 JS Islamic Fund Dec 05, 2012 57.24 55.57 55.57 JS Aggressive Asset …
Read More »Atlas Asset Management – Daily Fund Price as on Dec 05, 2012
Karachi, Dec 05, 2012 (PPI-OT): Date Offer Redemption NAV Atlas Money Market Fund Dec 05, 2012 505.41 505.41 505.41 Atlas Income Fund Dec 05, 2012 519.78 514.63 514.63 Atlas Stock Market Fund Dec 05, 2012 424.40 416.08 416.08 Atlas Islamic Income Fund Dec 05, 2012 518.24 513.11 513.11 Atlas Islamic …
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