Karachi, AL Habib Asset Allocation Fund announced an offer price of 99.97 and a redemption price of 98.01 for its year ending in June. The fund was listed in the year 2019.
Read More »ABL Special Savings Plan-III Discloses Pricing Information
Karachi, ABL Special Savings Plan-III reported an offer price of 10.36 and a redemption price of 10.13 for its year ending in June. The last book closure was on June 27, 2022, and the fund was listed in 2019.
Read More »ABL Active Allocation Plan Reveals Financials for June Year-End
Karachi, ABL Financial Planning Fund's Active Allocation Plan listed an offer price of 82.75 and a redemption price of 80.87 for the year ending in June. The book closure was last on June 29, 2022, with the fund listed since 2016.
Read More »NI(U)T Fund Lists Offer and Redemption Prices
Karachi, NI(U)T Fund (198) reported its offer and redemption prices at PKR 61.6 and 59.81, respectively. The fund concludes its fiscal year in June and has been part of the exchange since 1964.
Read More »AKD Cash Fund Announces Financial Data
Karachi, AKD Cash Fund disclosed an offer price and a redemption price both at 54.45 for its fiscal year ending in June. The fund has been listed since 2012.
Read More »AL Habib Income Fund Announces Pricing Figures
Karachi, AL Habib Income Fund reports an offer price of 103.11 and a redemption price of 102.08 for its year ending in June. The fund was listed in 2007.
Read More »JS Islamic Fund Shows Consistency in Market Prices
Karachi, The JS Islamic Fund (131) has shown consistency in its market prices with an offer price of PKR 71.09 and a redemption price of PKR 68.75. The fund closes its books in June and has been part of the exchange since 2003.
Read More »
AsiaNet-Pakistan Premier Editorial Content and Press Release Distribution Service