Karachi, September 19 2013 (PPI-OT):
Date NAV Offer Redemption IGI Income Fund (IGI-IF) September 19 2013 102.0325 103.0528 102.0325 IGI Stock Fund (IGI-SF) September 19 2013 121.6421 124.6832 121.6421 IGI Islamic Income Fund (IGI-IIF) September 19 2013 101.5287 102.5440 101.5287 IGI Money Market Fund (IGI-MMF) September 19 2013 100.4915 101.4964 100.4915 IGI Money Market Fund (IGI-AIF) September 19 2013 43.0278 43.4581 43.0278 IGI Capital Protected Fund (IGI-CPF) September 19 2013 105.3122 107.4184 100.0466
For more information, contact:
IGI Financial Service
7th floor, The Forum,
Suite 701-713, G-20, Block 9,
Khayaban-e-Jami, Clifton,
Karachi – 75600, Pakistan.
Phone: +92-21 111-367-444
Fax: +92-21 35306752
Website: www.igifunds.com.pk
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