Karachi, Premium Textile Mills Limited has issued a final notice urging shareholders to file claims for unclaimed dividends and shares. The notice, scheduled for publication in the "Business Recorder" and "DAILY AMN" on April 18, 2024, addresses divid...
Read More »Descon Oxychem Limited Reports No Dividends or Share Distribution for Q1 2024
Karachi, Descon Oxychem Limited announced that its Board of Directors, in a meeting held on April 17, 2024, decided against distributing any cash dividends, bonus shares, or right shares for the period ending March 31, 2024. The company's unconsolidat...
Read More »Lakson Tactical Fund Declines to Offer 2024 Dividends
Karachi, The Lakson Tactical Fund, operational since 2011, noted an offer price of 120.36 and a redemption price of 117.05 as of June 2024. Despite a distribution of Rs 13.2631 per unit in 2022, the fund will not provide dividends for 2024.
Read More »HBL Income Fund Declares 5.00% Distribution and Rs 5.50 Per Unit for Fiscal Year
Karachi, HBL Income Fund, with a year of listing in 2007, announced a distribution of 5.00% and Rs 5.50 per unit. The fund's offer price stood at 124.02, while the redemption price was 121.95 for the fiscal year ending June 2023.
Read More »NBP Pakistan Growth NC ETF Announces Modest Returns
Karachi, The NBP Pakistan Growth NC ETF (NBPGETF) with a daily rate of 15.76 and a fund size of Rs. 80.310 million has reported a modest annual distribution of 4.80%. The ETF, active since 2020, saw trading activity with a turnover of 52,000, ranging ...
Read More »United Insurance Co. of Pakistan Posts Strong Q1 Earnings
Karachi, United Insurance Co. of Pakistan (UNIC) disclosed an EPS of Rs 10.55 for the first quarter of 2024, the highest among its peers. The company, which began operations in 1960, declared a 45% bonus and a 35% dividend. The stock's trading price w...
Read More »Lakson Asset Allocation Developed Markets Fund Adjusts Prices and Dividends
Karachi, The Lakson Asset Allocation Developed Markets Fund has adjusted its offer price to 206.4 and redemption price to 200.72 as of June 2024. The fund, which started in 2011, declared distributions of Rs 4.5573 per unit in 2022 and Rs 2.3801 per u...
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