Islamabad, November 26, 2015 (PPI-OT): The Government of Pakistan and Asian Development Bank here on Thursday signed a Letter of Exchange for the establishment of “Pakistan National Fund for Disaster […]
Read More »Monthly Archives: November 2015
Karachi Stock Exchange Closing Rate of COMMERCIAL BANKS Dated 26-11-2015
Karachi, November 26, 2015 (PPI-OT): Company Name Turnover Prv.Rate Open Rate Highest Lowest Last Rate Diff. COMMERCIAL BANKS ABL Allied Bank 28000 95.56 96.44 97.00 96.30 96.44 0.88 AKBL Askari Bank 122500 21.11 21.26 21.64 21.15 21.16 0.05 BAFL Bank Al-Falah 1360000 28.00 28.59 29.10 28.26 29.02 1.02 BAHL Bank AL-Habib 104000 43.86 43.99 44.00 ...
Read More »Arif Habib Investments – Daily Prices for November 26, 2015
Karachi, November 26, 2015 (PPI-OT): Name of the Fund Date Repurchase Offer MCB Pakistan Stock Market Fund November 26, 2015 80.68 82.87 Pakistan Income Fund November 26, 2015 55.07 56.57 Pakistan Capital Market Fund November 26, 2015 10.33 10.61 Pakistan International Element Islamic Asset Allocation Fund – Type A November 26, 2015 57.95 59.52 MetroBank-Pakistan ...
Read More »Islamabad Stock Exchange Closing Rate of the Bonds Dated 26-11-2015
Islamabad, November 26, 2015 (PPI-OT): Company Name Symbol Code Opening Closing Volume Change BONDS Term Finance Certificate (TFC) National Savings Bond 10 Years NSB 10 Y1 100.00 100.00 0 ...
Read More »Asset Management – Daily Fund Price as on November 26, 2015
Karachi, November 26, 2015 (PPI-OT): Name of the Fund Date Offer Redemption NAV Atlas Money Market Fund November 26, 2015 102.56 102.56 102.56 Income Fund November 26, 2015 516.66 516.66 516.66 Stock Market Fund November 26, 2015 527.83 527.83 527.83 Sovereign Liquid Fund November 26, 2015 451.36 451.36 451.36 Islamic Income Fund November 26, 2015 ...
Read More »Karachi Stock Exchange Closing Rate of TRANSPORT Dated 26-11-2015
Karachi, November 26, 2015 (PPI-OT): Company Name Turnover Prv.Rate Open Rate Highest Lowest Last Rate Diff. TRANSPORT PIAA P.I.A.C.(A) 443000 8.50 8.55 8.60 8.47 8.52 0.02 PIBTL Pak Int.Bulk 1398000 27.58 27.75 28.35 27.52 27.61 0.03 PNSC P.N.S.C XD 22700 91.98 91.10 93.20 91.02 91.27 -0.71 For more information, contact: S. Munawar Ali Senior Manager ...
Read More »Faysal Asset Management Limited – Net Asset Value for November 26, 2015
Karachi, November 26, 2015 (PPI-OT): Name of the Fund Date Offer Redemption Faysal Asset Allocation Fund November 26, 2015 72.8400 72.8400 Faysal Balanced Growth Fund November 26, 2015 72.8800 72.8800 Faysal Financial Sector Opportunity Fund November 26, 2015 105.6400 103.8200 Faysal Income and growth Fund November 26, 2015 109.6900 109.6900 Faysal Islamic Savings Growth Fund ...
Read More »