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Monthly Archives: November 2014

Islamabad Stock Exchange Market Statistics Report Tuesday November 26, 2014

Islamabad, November 26, 2014 (PPI-OT): MARKET TREND: Bullish COMPANIES TRADED: TOTAL PLUS MINUS EQUAL 151 96 -55 0 INDEX POSITION: INDEX Opening Closing Change ISE-10 Index: 4110.01 4116.67 6.66 ISE-25 Index: INDEX Opening Closing Change 2038.47 2040.04 1.57 TOTAL VOLUME: Previous Current Change 34,000 44,000 10,000 VOLUME LEADERS: Company VOLUME of Shares P.I.A 20,000 Bank ...

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Karachi Cotton Association Official Spot Rate for Local Dealings in Pak Rupees of 26-11-2014

Karachi, November 26, 2014 (PPI-OT): CROP 213-214 PART - I SPOT RATES KCA Official Spot Rate for Local Dealings in Pak Rupees FOR BASE GRADE 3 (THREE) STAPLE LENGTH 1-1/16" MICRONAIRE VALUE BETWEEN 3.8 To 4.9 NCL Rate Ex-Gin Price Up-country Spot Rate Spot Rate Difference for Expenses Ex-Karachi Ex. KHI. As on In Rs. ...

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INMA succeeds with first-ever Middle East conference in Dubai

DUBAI 25 November 2014 / Asianet-Pakistan – The International News Media Association (INMA) held its first-ever conference in the Middle East last week with representatives from seven countries in the region. The INMA Middle East Publishers’ Conference November 18-19 in Dubai featured a stellar lineup of speakers from the world’s leading news media companies. A […]

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New Zealand alliance of banks and operators selects Gemalto TSM Hub to secure their NFC services

AMSTERDAM, Netherlands, Nov. 26, 2014 (GLOBE NEWSWIRE / Knowledgebylanes) — Gemalto (Euronext NL0000400653 GTO), the world leader in digital security, has provided its Allynis Trusted Services Hub (TSH) to Semble to secure its mobile NFC services in New Zealand. Semble is a joint collaboration between major banks and all three operators in New Zealand serving […]

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PICIC Asset Management Company Limited – Daily Fund Prices PKR as of November 26, 2014

Karachi, November 26, 2014 (PPI-OT): Name of the Fund Date Offer Redemption NAV PICIC Income Fund November 27, 2014 106.9392 105.6190 PICIC Cash Fund November 26, 2014 104.9402 103.9012 PICIC Stock Fund November 26, 2014 126.7038 123.0134 PICIC Energy Fund November 26, 2014 11.7673 11.4246 PICIC Islamic Income Fund November 26, 2014 104.9616 103.4104 PICIC ...

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Faysal Asset Management Limited – Net Asset Value for November 26, 2014

Karachi, November 26, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Faysal Asset Allocation Fund November 26, 2014 73.7400 73.7400 Faysal Balanced Growth Fund November 26, 2014 66.0200 66.0200 Faysal Financial Sector Opportunity Fund November 26, 2014 105.7700 103.9500 Faysal Income and growth Fund November 26, 2014 108.9700 108.9700 Faysal Islamic Savings Growth Fund ...

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