Karachi: The Alhamra Islamic Income Fund, along with its Types "A" and "B", provided their financial details on the Pakistan Stock Exchange today. The main fund, listed since 2011, reported an offer price of Rs. 110.91 and a redemption price of Rs. 10...
Read More »AWT – Stock Fund Remains Constant in the Market
Karachi: The AWT - Stock Fund reported an offer price of 108.53 and a redemption price of 106.13 for the year ending in June 2023. The fund, part of the financial market since 2015, did not declare any distributions for the years 2021, 2022, and 2023.
Read More »Bank Al Habib Limited Releases Details of Tier-II TFC
Karachi: Bank Al Habib Limited has provided information on its Tier-II Term Finance Certificate (TFC), symbolized as BAHLTFC10. The security holds a market lot of 1 and a face value of 5,000. The TFC spans a tenor of 10 years with a profit rate of 6M ...
Read More »Askari Bank Limited Issues TFC Tier-I
Karachi: Askari Bank Limited has released a Term Finance Certificate (TFC) under Tier-I with the symbol AKBLTFC6. The market lot is 1 with a face value of Rs. 1,000,000. This particular TFC has a perpetual tenor, and its profit rate is set at 6M KIBOR...
Read More »Alfalah GHP Stock Fund Reports Distributions for 2021
Karachi: Financial details for Alfalah GHP Stock Fund for the year ending June 30, 2023, were released on the Pakistan Stock Exchange today. The fund, with a listing year of 2008, reported an offer price of Rs. 115.84 and a redemption price of Rs. 112...
Read More »Colgate-Palmolive (Pakistan) Ltd Reports Strong Growth in Q3 2023
Karachi: Colgate-Palmolive (Pakistan) Ltd has announced its financial results for the quarter ended September 30, 2023. The Board of Directors, in their meeting held on October 27, 2023, in Karachi approved the un-audited financial statements, which a...
Read More »Lakson Money Market Fund Reports Financial Status for 2023
Karachi: Lakson Money Market Fund, listed on PSE since 2009, disclosed its offer price as 105.28 and the redemption price as 104.1 for the year ending June. For 2021, the fund declared a distribution of 6.78%, while it was "Rs 5.1947 per unit" for 202...
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