Habib Asset Management Limited – Daily Fund prices for October 23, 2013 : AsiaNet-Pakistan

Habib Asset Management Limited – Daily Fund prices for October 23, 2013

October 23, 2013 | Fund News | Share:

Karachi, October 23, 2013 (PPI-OT):

                                                      Date                       Offer           Redemption
First Habib Cash Fund                             October 23, 2013             100.5465           100.5465
First Habib Islamic Balanced Fund                 October 23, 2013             104.6211           104.6211
First Habib Income Fund                           October 23, 2013             100.5871           100.5871
First Habib Stock Fund                            October 23, 2013             101.5868           101.5868

For more information contact:
Habib Asset Management Limited
Shahrah-e-Faisal Branch
19-1-A, Block-6, P.E.C.H.S.,
Shahrah-e-Faisal
Karachi.
Phone: 021-34544383-87
Web: www.habibfunds.com

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Category: Fund News