Karachi, (PPI Bot): JS Value Fund has announced its year-end distributions for the year 2023. The offer price for the fund stands at 150.63, with a redemption price of 145.69. The fund has reported distributions of Rs 8.00 per unit for the year ending June 2022. There were no distributions for the previous book closure, and the fund was listed in 2013.
The post JS Value Fund Reports Year-End Distributions appeared first on Pakistan Company News.
AsiaNet-Pakistan Premier Editorial Content and Press Release Distribution Service