Karachi, September 08, 2014 (PPI-OT): Name of the Fund Date Offer Change Price Redemption HBL Income Fund (HBLIF) September 08, 2014 103.1107 0.0690 103.1107 HBL Stock Fund September 08, 2014 108.2671 0.0630 104.7435 HBL Multi Asset Fund (HBLMAF) September 08, 2014 98.5626 0.1729 95.9796 HBL Money Market Fund September 08, 2014 101.9930 0.0781 101.9930 HBL ...
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