Karachi, June 05 2013 (PPI-OT): Fund Name Date Offer Price Redemption Price NAFA Money Market Fund June 05 2013 10.0822 10.0320 NAFA Government Securities Liquid Fund June 05 2013 10.0548 10.0548 NAFA Savings Plus Fund June 05 2013 10.1079 10.0576 NAFA Financial Sector Income Fund June 05 2013 10.3276 10.2253 …
Read More »