Karachi, October 21, 2014 (PPI-OT): Name of the Fund Date Offer Redemption First Habib Income Fund October 21, 2014 102.7920 102.7920 First Habib Stock Fund October 21, 2014 104.5675 104.5675 First Habib Cash Fund October 21, 2014 102.7488 102.7488 First Habib Islamic Balanced Fund October 21, 2014 103.8029 103.8029 For more information, contact: Habib Asset ...
The post Habib Asset Management Limited – Daily Fund prices for October 21, 2014 appeared first on Business News Pakistan.
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