Karachi, September 15, 2014 (PPI-OT): Name of the Fund Date Offer Redemption NAV Unit Trust of Pakistan September 15, 2014 134.38 130.46 130.46 JS Income Fund September 15, 2014 89.07 88.18 88.18 JS Islamic Government Securities Fund September 15, 2014 101.19 100.18 100.18 JS Islamic Fund September 15, 2014 69.2 67.18 67.18 JS Aggressive Asset ...
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