Karachi: Fund Date Offer Redemption Unit Trust Of Pakistan Sep 16, 2011 102.69 99.69 JS Income Fund Sep 16, 2011 89.25 88.36 JS Aggressive Income Fund Sep 16, 2011 87.5 86.63 JS Aggressive Asset Allocation Fund Sep 16, 2011 22.86 22.19 JS Islamic Fund Sep 16, 2011 41.76 40.54 …
Read More »JS Investment Limited – Fund Prices as on Sep 15, 2011
Karachi: Fund Date Offer Redemption Unit Trust Of Pakistan Sep 15, 2011 102.24 99.26 JS Income Fund Sep 15, 2011 89.21 88.32 JS Aggressive Income Fund Sep 15, 2011 87.47 86.6 JS Aggressive Asset Allocation Fund Sep 15, 2011 22.72 22.05 JS Islamic Fund Sep 15, 2011 41.56 40.34 …
Read More »JS Investment Limited – Fund Prices as on Sep 14, 2011
Karachi: Fund Date Offer Redemption Unit Trust Of Pakistan Sep 14, 2011 101.88 98.91 JS Income Fund Sep 14, 2011 89.18 88.29 JS Aggressive Income Fund Sep 14, 2011 87.44 86.57 JS Aggressive Asset Allocation Fund Sep 14, 2011 22.58 21.92 JS Islamic Fund Sep 14, 2011 41.43 40.22 …
Read More »JS Investment Limited – Fund Prices as on Sep 12, 2011
Karachi: Fund Date Offer Redemption Unit Trust Of Pakistan Sep 12, 2011 101.01 98.06 JS Income Fund Sep 12, 2011 89.13 88.241 JS Aggressive Income Fund Sep 12, 2011 87.38 86.42 JS Aggressive Asset Allocation Fund Sep 12, 2011 22.38 21.72 JS Islamic Fund Sep 12, 2011 40.99 39.79 …
Read More »JS Investment Limited – Fund Prices as on Sep 09, 2011
Karachi: Fund Date Offer Redemption Unit Trust Of Pakistan Sep 09, 2011 101.88 98.91 JS Income Fund Sep 09, 2011 89.04 88.15 JS Aggressive Income Fund Sep 09, 2011 87.29 86.42 JS Aggressive Asset Allocation Fund Sep 09, 2011 22.57 21.91 JS Islamic Fund Sep 09, 2011 41.41 40.2 …
Read More »JS Investment Limited – Fund Prices as on Sep 08, 2011
Karachi: Fund Date Offer Redemption Unit Trust Of Pakistan Sep 08, 2011 102.44 99.95 JS Income Fund Sep 08, 2011 89.03 88.14 JS Aggressive Income Fund Sep 08, 2011 87.26 86.39 JS Aggressive Asset Allocation Fund Sep 08, 2011 22.75 22.08 JS Islamic Fund Sep 08, 2011 41.78 39.97 …
Read More »JS Investment Limited – Fund Prices as on Sep 07, 2011
Karachi: Fund Date Offer Redemption Unit Trust Of Pakistan Sep 07, 2011 101.97 99.0 JS Income Fund Sep 07, 2011 89.0 88.11 JS Aggressive Income Fund Sep 07, 2011 87.23 86.36 JS Aggressive Asset Allocation Fund Sep 07, 2011 22.61 21.95 JS Islamic Fund Sep 07, 2011 41.17 39.97 …
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