Breaking News

Daily Archives: January 27, 2016

Pakistan Stock Exchange Limited Closing Rate of INSURANCE Dated 27-01-2016

Karachi, January 27, 2016 (PPI-OT): Company Name Turnover Prv.Rate Open Rate Highest Lowest Last Rate Diff. INSURANCE AICL Adamjee Ins. 588500 55.83 56.00 56.67 55.85 56.35 0.52 ATIL Atlas Ins. Ltd 500 74.00 72.50 72.50 72.50 72.50 -1.50 CENI Century Ins. 2500 24.31 23.64 24.90 23.64 24.90 0.59 CSIL Cres.Star Ins. 390500 10.64 10.55 10.95 ...

Read More »

PICIC Asset Management Company Limited – Daily Fund Prices PKR as of January 27, 2016

Karachi, January 27, 2016 (PPI-OT): Name of the Fund Date Offer Redemption PICIC Income Fund January 27, 2016 109.0050 107.6593 PICIC Cash Fund January 28, 2016 104.9363 103.8973 PICIC Stock Fund January 27, 2016 122.0901 118.5341 PICIC Energy Fund January 27, 2016 11.0995 10.7762 PICIC Islamic Income Fund January 27, 2016 104.5111 102.9666 PICIC Islamic ...

Read More »

Pakistan Stock Exchange Limited Closing Rate of SYNTHETIC AND RAYON Dated 27-01-2016

Karachi, January 27, 2016 (PPI-OT): Company Name Turnover Prv.Rate Open Rate Highest Lowest Last Rate Diff. SYNTHETIC AND RAYON AASM AL-Abid Silk Mills 1000 16.58 16.99 17.50 16.99 17.50 0.92 DSFL Dewan Salman 270500 1.92 1.90 1.99 1.90 1.98 0.06 IBFL Ibrahim Fibres 1000 49.05 51.50 51.50 51.50 51.50 2.45 RUPL Rupali Polyester 6000 11.00 ...

Read More »

Pakistan Stock Exchange Limited Closing Rate of CHEMICAL Dated 27-01-2016

Karachi, January 27, 2016 (PPI-OT): Company Name Turnover Prv.Rate Open Rate Highest Lowest Last Rate Diff. CHEMICAL AGL Agritech Limited 1000 8.15 8.99 8.99 8.58 8.58 0.43 AKZO Akzo Nobel Pak. 6700 212.10 212.12 214.00 210.00 210.83 -1.27 ARPL Archroma Pak XD 24000 416.23 416.00 437.04 416.00 437.04 20.81 BERG Berger Paints 17000 88.88 89.99 ...

Read More »

Net Asset Value in Pakistani Rupees for January 27, 2016

Karachi, January 27, 2016 (PPI-OT): Fund Name Date Offer Redemption price price Nafa Islamic Active Allocation Plan-I January 27, 2016 0.0000 100.1984 NAFA Active Allocation Riba Free Savings Fund January 27, 2016 0.0000 10.0118 NAFA Islamic Active Allocation Equity Fund January 27, 2016 0.0000 9.9726 NAFA Government Securities Liquid Fund January 27, 2016 10.4720 10.4720 ...

Read More »