Karachi: Date Offer Redemption NAV Atlas Money Market Fund Sep 12, 2011 504.87 504.87 504.87 Atlas Income Fund Sep 12, 2011 488.34 483.50 483.50 Atlas Stock Market Fund Sep 12, 2011 328.44 322.00 322.00 Atlas Islamic Income Fund Sep 12, 2011 517.35 512.23 512.23 Atlas Islamic Stock Fund* Sep …
Read More »Atlas Asset Management – Daily Fund Price as on Sep 09, 2011
Karachi: Date Offer Redemption NAV Atlas Money Market Fund Sep 09, 2011 504.41 504.41 504.41 Atlas Income Fund Sep 09, 2011 487.87 483.04 483.04 Atlas Stock Market Fund Sep 09, 2011 333.88 327.33 327.33 Atlas Islamic Income Fund Sep 09, 2011 516.91 511.79 511.79 Atlas Islamic Stock Fund* Sep …
Read More »Atlas Asset Management – Daily Fund Price as on Sep 08, 2011
Karachi: Date Offer Redemption NAV Atlas Money Market Fund Sep 08, 2011 504.28 504.28 504.28 Atlas Income Fund Sep 08, 2011 487.73 482.90 482.90 Atlas Stock Market Fund Sep 08, 2011 336.35 329.75 329.75 Atlas Islamic Income Fund Sep 08, 2011 516.76 511.64 511.64 Atlas Islamic Stock Fund* Sep …
Read More »Atlas Asset Management – Daily Fund Price as on Sep 07, 2011
Karachi: Date Offer Redemption NAV Atlas Money Market Fund Sep 07, 2011 504.14 504.14 504.14 Atlas Income Fund Sep 07, 2011 487.57 482.74 482.74 Atlas Stock Market Fund Sep 07, 2011 335.10 328.53 328.53 Atlas Islamic Income Fund Sep 07, 2011 516.53 511.42 511.42 Atlas Islamic Stock …
Read More »Atlas Asset Management – Daily Fund Price as on Sep 06, 2011
Karachi: Date Offer Redemption NAV Atlas Money Market Fund Sep 06, 2011 503.99 503.99 503.99 Atlas Income Fund Sep 06, 2011 487.35 482.52 482.52 Atlas Stock Market Fund Sep 06, 2011 332.47 325.95 325.95 Atlas Islamic Income Fund Sep 06, 2011 516.45 511.34 511.34 Atlas Islamic Stock Fund* Sep …
Read More »Atlas Asset Management – Daily Fund Price as on Sep 05, 2011
Karachi: Date Offer Redemption NAV Atlas Money Market Fund Sep 05, 2011 503.84 503.84 503.84 Atlas Income Fund Sep 05, 2011 487.16 482.34 482.34 Atlas Stock Market Fund Sep 05, 2011 326.12 319.73 319.73 Atlas Islamic Income Fund Sep 05, 2011 516.30 511.19 511.19 Atlas Islamic Stock Fund* Sep …
Read More »Atlas Asset Management – Daily Fund Price as on Aug 30, 2011
Karachi: Date Offer Redemption NAV Atlas Money Market Fund Aug 30, 2011 502.90 502.90 502.90 Atlas Income Fund Aug 30, 2011 486.20 481.39 481.31 Atlas Stock Market Fund Aug 30, 2011 323.47 317.13 317.13 Atlas Islamic Income Fund Aug 30, 2011 515.43 510.33 510.33 Atlas Islamic Stock Fund* Aug …
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