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Monthly Archives: February 2014

KASB Asset Management-Daily Net Asset Value for February 03, 2014

Karachi, February 03, 2014 (PPI-OT): Name of the Fund Date Offer Price Redemption Price Redemption Price (with Backend load) KASB Cash Fund February 04, 2014 103.4874 102.4525 Crosby Dragon Fund February 03, 2014 123.7600 121.3300 KASB Islamic Income Opportunity Fund February 03, 2014 101.2593 100.2467 KASB Income Opportunity Fund February 03, 2014 72.7210 72.7210 72.3574 ...

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State Bank of Pakistan rates for conversion of Foreign Currency Deposits, Dollar Bearer Certificates, Foreign Currency Bearer Certificates, Special United States Dollar Bonds and profit thereon February 03, 2014

Karachi, February 03, 2014 (PPI-OT): The following rates will be applicable for conversion into rupees of Foreign Currency Deposits, Dollar Bearer Certificates, Foreign Currency Bearer Certificates, Special U.S Dollar Bonds […]

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