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Daily Archives: January 1, 2014

Faysal Asset Management Limited – Net Asset Value for December 31, 2013

Karachi, January 01, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Faysal Asset Allocation Fund December 31, 2013 68.0600 68.0600 Faysal Balanced Growth Fund December 31, 2013 61.5400 61.5400 Faysal Financial Sector Opportunity Fund December 31, 2013 102.8700 101.1000 Faysal Income and growth Fund December 31, 2013 106.1600 106.1600 Faysal Islamic Savings Growth Fund ...

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