Karachi, January 30, 2015 (PPI-OT): Company Name Turnover Prv.Rate Open Rate Highest Lowest Last Rate Diff. Multiutilities (Gas and water) SNGP Sui North Gas 5061500 27.99 27.98 28.80 27.98 28.24 0.25 SSGC Sui South Gas 5844000 40.40 40.49 41.85 40.28 41.24 0.84 For more information, contact: S. Munawar Ali Senior Manager Public Relations Karachi Stock ...
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Islamabad Stock Exchange Closing Rate Summary of Open-End Mutual Funds Dated 30-01-2015
Islamabad, January 30, 2015 (PPI-OT): Companies Name Symbol Code Closing Volume Change OPEN-END MUTUAL FUNDS ABL Islamic Principal Pres. Fund ABL-IPPF Offer Price 10.16 0 0.00 Repurchase Price 10.16 0 0.00 ABL Islamic Principal Preservation Fund-II ABL-IPPF-II Offer Price 10.16 0 0.00 Repurchase Price 10.16 0 0.00 Al- Ameen Islamic Asset Allocation Fund AIASF Offer ...
Read More »Al Meezan Investment Management – Daily Fund Prices for January 30, 2015
Karachi, January 30, 2015 (PPI-OT): Name of the Fund Date Repurchase Offer NAV Meezan Islamic Fund (MIF) January 30, 2015 59.78 61.52 Al Meezan Mutual Fund Limited (AMMF) January 30, 2015 16.66 17.15 KSE Meezan Index Fund (KMIF) January 30, 2015 69.87 71.91 Meezan Islamic Income Fund (MIIF) Type B Units January 30, 2015 52.74 ...
Read More »Islamabad Stock Exchange Closing Rate of Jute Sector Dated 30-01-2015
Islamabad, January 30, 2015 (PPI-OT): Company Name Symbol Code Opening Closing Volume Change Jute SECTOR Crescent Jute CJPL 4.06 4.00 ...
Read More »EFU Life Assurance Limited – Daily Funds Prices for January 30, 2015
Karachi, January 30, 2015 (PPI-OT): Name of the Fund Date Bid Price Offer Price EFU Guaranteed Growth Fund January 30, 2015 766.810 807.170 EFU Managed Growth Fund January 30, 2015 1360.56 1432.17 EFU Pension Growth Fund January 30, 2015 249.930 263.090 EFU Capital Growth Fund January 30, 2015 345.090 363.260 EFU Aitemad Growth Fund January ...
Read More »Islamabad Stock Exchange Closing Rate of Transport Sector Dated 30-01-2015
Islamabad, January 30, 2015 (PPI-OT): Company Name Symbol Code Opening Closing Volume Change TRANSPORT SECTOR P. I. A. Corporation PIAA 9.00 9.00...
Read More »Habib Asset Management Limited – Daily Fund prices for January 30, 2015
Karachi, January 30, 2015 (PPI-OT): Name of the Fund Date Offer Redemption First Habib Income Fund January 30, 2015 107.4907 107.4907 First Habib Stock Fund January 30, 2015 118.4266 118.4266 First Habib Cash Fund January 30, 2015 105.2696 105.2696 First Habib Islamic Balanced Fund January 30, 2015 108.8870 108.8870 For more information, contact: Habib Asset ...
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