Karachi, Pak Oman Asset Management Company Limited, under the leadership of its Chief Executive Officer and the Board of Directors, has declared interim distributions for three of its funds for the year ending June 30, 2024. The distributions will be made to the unit holders on record at the close of business on June 21, 2024.
According to information available from the Pakistan Stock Exchange (PSX), the Askari Cash Fund will distribute Rs. 22.4198 per unit. Similarly, the Askari High Yield Scheme will provide its unit holders with an Interim II distribution of Rs. 13.6294 per unit. Additionally, the Askari Sovereign Yield Enhancer will distribute Rs. 24.6300 per unit.
These distributions represent a financial benefit to the shareholders of the respective funds and are reflective of the company’s performance and asset management strategy.
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