Karachi, The NIT – Asset Allocation Fund, listed in 2020, released its year-end financials for June 2023. The fund’s offer price was recorded at 12.05 with a redemption price of 11.76. Notably, the fund did not declare any distributions for this period.
Check Also
Hub Power Holdings Limited Announces Corporate Action for Sukuk Certificate Holders
Karachi: In compliance with the regulations of the Central Depository Company of Pakistan Limited (CDC), Hub Power Holdings Limited has announced key corporate actions for its Sukuk Certificate holders. The company provided details on the forthcoming ...
The post Hub Power Holdings Limited Announces Corporate Action for Sukuk Certificate Holders appeared first on .
AsiaNet-Pakistan Premier Editorial Content and Press Release Distribution Service