Daily Archives: September 17, 2013

Arif Habib Investments – Daily Prices for September 17, 2013

Karachi, September 17, 2013 (PPI-OT): Date Offer Repurchase NAV Pakistan Stock Market Fund (PSM) September 17, 2013 64.83 63.09 Pakistan Income Fund (PIF) September 17, 2013 54.21 52.75 Pakistan Capital Market Fund (PCMF) September 17, 2013 9.06 8.82 Pakistan International Element Islamic Fund of Arif Habib (PIIF-A) September 17, 2013 49.48 48.15 MetroBank Sovereign Fund ...

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Al Meezan Investment Management – Daily Fund Prices for September 17, 2013

Karachi, September 17, 2013 (PPI-OT): Date Repurchase Offer NAV Meezan Islamic Fund (MIF) September 17, 2013 47.24 48.63 Al Meezan Mutual Fund Limited (AMMF) September 17, 2013 13.27 13.66 KSE Meezan Index Fund (KMIF) September 17, 2013 61.00 62.79 Meezan Islamic Income Fund (MIIF) Type B Units September 17, 2013 51.23 51.57 Meezan Islamic Income ...

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Alfalah GHP Investment Management – Daily Fund Prices for September 17, 2013

Karachi, September 17, 2013 (PPI-OT): Date Offer Price Redemption Price Alfalah GHP Value Fund (AGVF) September 17, 2013 59.84 56.99 ALFALAH GHP INCOME MULTIPLIER FUND (AGIMF) September 17, 2013 49.4194 47.9800 Alfalah GHP Islamic Fund (AGIF) September 17, 2013 64.11 61.06 Alfalah GHP Alpha Fund (AGAF) September 17, 2013 64.32 61.26 ALFALAH GHP CASH FUND ...

The post Alfalah GHP Investment Management – Daily Fund Prices for September 17, 2013 appeared first on AsiaNet-Pakistan.

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KASB Asset Management-Daily Net Asset Value for September 17, 2013

Karachi, September 17, 2013 (PPI-OT): Name of the Fund Date Offer Price Redemption Price Redemption Price (with Backend load) KASB Cash Fund September 18, 2013 103.3860 102.3521 KASB Islamic Income Opportunity Fund September 17, 2013 100.9055 99.8964 KASB Income Opportunity Fund September 17, 2013 72.5623 72.5623 72.1995 KASB Asset Allocation Fund September 17, 2013 40.9500 ...

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Daily Net Asset Value in Pakistani Rupees for September 17, 2013

Karachi, September 17, 2013 (PPI-OT): Fund Name Date Offer Price Redemption Price NAFA Money Market Fund September 17, 2013 10.0927 10.0425 NAFA Government Securities Liquid Fund September 17, 2013 10.0749 10.0749 NAFA Savings Plus Fund September 17, 2013 10.1301 10.0797 NAFA Financial Sector Income Fund September 17, 2013 10.5402 10.4358 NAFA Income Opportunity Fund September ...

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Bombardier’s CSeries Aircraft Completes Historic First Flight

- Bombardier Aerospace to hold press conference at approximately 13:45 EDT – Photos of the first flight are available at www.bombardier.com and cseries.com – B-roll will be available at bcamediafootage.com MONTREAL, QUEBEC–(Marketwired / Asianet-Pakistan – Sep 16, 2013) – Under perfect weather conditions, Bombardier Aerospace celebrated the successful first flight of its CSeries aircraft today, […]

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