Breaking News

Primus Investment Management Limited – Daily NAV for January 06, 2014

Karachi, January 06, 2014 (PPI-OT):

Name of the Fund                                           Date             Offer      Redemption
PRIMUS CASH FUND (CF)                             January 06, 2014        100.256       100.256
PRIMUS DAILY RESERVE FUND (DRF)                   January 06, 2014        100.2725      100.2725
PIML-SMAF                                         January 06, 2014        107.5197      105.4114

For more information, contact:
Primus Investment Management Limited
4th Floor, Horizon Vista,
Commercial 10, Block No.4,
Scheme No. 5 Clifton,
Karachi, Pakistan.
Tel Off: +92 21 35290006-9
Fax: +92 21 35290004
Email: info@primusinvestements.com
Web: http://www.primusinvestments.com/index.aspx

Check Also

JS Investment Limited – Fund Prices as on November 24, 2016

Karachi, November 24, 2016 (PPI-OT): Name of the Fund Date Offer Redemption NAV JS Fund of Funds November 24, 2016 54.90 53.30 51.46...