Karachi, Symmetry Group Limited (SYM), newly listed in 2023, reported an earnings per share (EPS) of Rs. 0.65 for the year. The company's share price closed at Rs. 3.55, with a slightly higher daily weighted average of Rs. 3.56. With a paid-up capital...
Read More »Gharibwal Cement Ltd. Exhibits Steady Growth in the Cement Industry
Karachi, Gharibwal Cement Ltd. (GWLC), a key player in the Pakistani cement industry, has shown steady growth as per the latest Pakistan Stock Exchange data. The company's share rate stands at RS 24.15, with a daily weighted average rate of RS 23.61. ...
Read More »BankIslami Pakistan Ltd Announces Dividend, Shows Positive Growth
Karachi, BankIslami Pakistan Ltd (BIPL), a notable Islamic banking institution, reported a positive trend with today's rate at Rs. 24.53 and an average rate of Rs. 24.44. The bank's paid-up capital is Rs. 11,087.03 million. BIPL declared a 10% dividen...
Read More »Technology and Communication Sector Declines Significantly
Karachi, The Technology and Communication sector faced a significant decline in the Pakistan Stock Exchange. The sector's market capitalization was Rs. 274,255,059,841, with a high turnover of 33,171,747 shares, leading to a traded value of Rs. 866,71...
Read More »Allied Capital Protected Fund Focuses on Capital Preservation
Karachi, Introduced in 2018, the Allied Capital Protected Fund has maintained its focus on capital preservation, announcing a distribution of "Re 0.2715 per unit" for the year ending June 2024. The fund aims to safeguard investors' capital while provi...
Read More »Waves Home Appliances Ltd Shows Growth
Karachi, Waves Home Appliances Ltd (WAVESAPP) reports an EPS of Rs. 9.2 for January 2024, showcasing growth from a previous EPS of Rs. 0.18*. The company's share rate was Rs. 7.36, with a daily weighted average of Rs. 7.40. Despite not declaring a div...
Read More »Askari Asset Allocation Fund Offers Minimal Returns in 2024
Karachi, The Askari Asset Allocation Fund, with its inception in 2007, has not declared any distributions for its main class for the year ending June 2024. However, the Class B and Class C units of the fund have each announced a modest 0.21% distribut...
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