AKD Cash Fund Announces NAV and Distribution

Karachi, (PPI Bot): AKD Cash Fund, a fund listed on the Pakistan Stock Exchange, reported its Net Asset Value (NAV) and distribution details for June 2023. The fund’s NAV was consistent at PKR 55.56 for both offer and redemption prices. It also declared a distribution of 6.13%, equivalent to Rs 2.31660 per unit. The fund has been listed since 2012.

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