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Pak Oman Advantage Asset Allocation Fund Reports No Distributions for Fiscal Year 2022

Karachi, The Pak Oman Advantage Asset Allocation Fund, with an offer price of 45.58 and a redemption price of 44.33 for the fiscal year ending June 2022, did not declare any distributions. Since its listing on June 28, 2021, the fund has been focused on diversified asset allocation to optimize returns, maintaining its strategy without announcing distributions for the year.

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Shareholder Reports Significant Loss of Share Certificates at Mahmood Textile Mills

Karachi: Mahmood Textile Mills Limited has announced the loss of a substantial number of shares by one of its shareholders, Mr. Muhammad Muzaffar Iqbal. The shareholder reported the loss of share certificates covering a total of 208,259 shares, a sign...

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