NIT – Asset Allocation Fund Posts Financial Figures

Karachi, The NIT – Asset Allocation Fund reported an offer price of 12.05 and a redemption price of 11.76 for June 2022, with no distributions noted for this period.

Launched in 2020, this fund aims to optimize asset allocation to maximize returns. The detailed pricing information offers insights into its performance and strategic direction within a relatively nascent operational timeframe.

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PSX Announces January 2025 Deliverable Future Contracts Schedule

Karachi: The Pakistan Stock Exchange (PSX) has released the trading and settlement schedule for Deliverable Future Contracts (DFC) for January 2025. The schedule details the opening and closing dates for contracts, alongside specific trading regulatio...

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