JS Income Fund Announces NAV and Distribution

Karachi, (PPI Bot): JS Income Fund, listed since 2002, announced a NAV of PKR 112.29 for the offer price and PKR 109.79 for the redemption price as of June 2023. The fund declared a distribution of Rs 13.00 per unit for the year, marking its solid performance in the income fund category.

The post JS Income Fund Announces NAV and Distribution appeared first on Pakistan Company News.

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