Karachi, (PPI Bot): The Meezan Gold Fund, active in the market since 2017, maintained its position in 2023 with no distribution announced. The fund’s offer price was reported at Rs 160.42 per unit, reflecting its focus on gold investment.
Read More »Soneri Bank Limited Issues Perpetual Tier-I TFC
Karachi, (PPI Bot): Soneri Bank Limited (SNBLTFC3) has issued a perpetual tier-I term finance certificate with a profit rate pegged at 6M KIBOR+2.00%. The issue has a market lot size of 1 and a face value of 5,000 PKR, amounting to a total issue size ...
Read More »NBP Money Market Fund Posts 6.27% Distribution in 2023
Karachi, (PPI Bot): The NBP Money Market Fund, listed in 2012, reported a 6.27% distribution for 2023, amounting to Rs 0.5531 per unit. The fund’s offer price was set at Rs 10 per unit, reflecting a consistent performance in the money market sector.
Read More »Gharibwal Cement Ltd. Posts Robust Capital and Announces Dividends
Karachi, (PPI Bot): Gharibwal Cement Ltd. (GWLC) announced a significant paid-up capital figure at 4,002.74 million, coupled with a year-end distribution of 7.5% and 10% dividends for shareholders. The cement giant, listed since 1962, ended with a dai...
Read More »Habib Insurance Maintains Consistent Distribution
Karachi, (PPI Bot): Habib Insurance Co. Ltd. (HICL) has maintained a consistent distribution of 12.5% for its shareholders as declared in the latest financial announcements. With a market presence dating back to 1949, the company’s share price fluctua...
Read More »Pak Oman Islamic Asset Allocation Fund Posts 2.30% Distribution in 2023
Karachi, (PPI Bot): The Pak Oman Islamic Asset Allocation Fund, listed in 2009, reported a 2.30% distribution for the year ending June 2023. The fund’s offer price was Rs 42.62 per unit, indicating a stable year in Islamic asset allocation.
Read More »Lakson Tactical Fund Announces Significant Per Unit Distribution in 2023
Karachi, (PPI Bot): Listed in 2011, the Lakson Tactical Fund offered a price of 105.24 for the year ending June 2023. The fund declared a distribution of Rs 13.2631 per unit, indicating a significant distribution policy for the year.
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