Karachi, March 31, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 31, 2014 100.1212 100.1212 Primus DRF March 31, 2014 100.1294 100.1294 Primus-CF March 31, 2014 109.45 107.3 PIML-IMMF March 31, 2014 102.9 100.87 PIML-IEF March 31, 2014 102.95 100.92 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
Read More »Primus Investment Management Limited – Daily NAV for March 27, 2014
Karachi, March 28, 2014 (PPI-OT): Name of the Fund Date Offer Redemption PIML-SMAF March 27, 2014 109.27 107.13 PIML-IEF March 27, 2014 102.86 100.83 PIML-IMMF March 27, 2014 102.81 100.79 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 ...
Read More »Primus Investment Management Limited – Daily NAV for March 26, 2014
Karachi, March 26, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 26, 2014 100.5734 100.5734 Primus DRF March 26, 2014 100.6672 100.6672 PIML-SMAF March 26, 2014 109.23 107.08 PIML-IEF March 26, 2014 102.85 100.82 PIML-IMMF March 26, 2014 102.79 100.77 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
Read More »Primus Investment Management Limited – Daily NAV for March 24, 2014
Karachi, March 24, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 24, 2014 100.5467 100.5467 Primus DRF March 24, 2014 100.6262 100.6262 PIML-SMAF March 24, 2014 108.19 106.06 PIML-IEF March 24, 2014 102.74 100.72 PIML-IMMF March 24, 2014 102.65 100.63 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
Read More »Primus Investment Management Limited – Daily NAV for March 21, 2014
Karachi, March 21, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 21, 2014 100.4836 100.4836 Primus DRF March 21, 2014 100.5539 100.5539 PIML-SMAF March 21, 2014 108.92 106.78 PIML-IEF March 21, 2014 102.67 100.66 PIML-IMMF March 21, 2014 102.62 100.6 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
Read More »Primus Investment Management Limited – Daily NAV for March 20, 2014
Karachi, March 20, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 20, 2014 100.4564 100.4564 Primus DRF March 20, 2014 100.5265 100.5265 PIML-SMAF March 20, 2014 109.45 107.3 PIML-IEF March 20, 2014 102.65 100.64 PIML-IMMF March 20, 2014 102.61 100.59 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
Read More »Primus Investment Management Limited – Daily NAV for March 18, 2014
Karachi, March 18, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 18, 2014 100.424 100.424 Primus DRF March 18, 2014 100.4835 100.4835 PIML-SMAF March 18, 2014 102.61 100.59 PIML-IEF March 18, 2014 102.59 100.57 PIML-IMMF March 18, 2014 109.74 107.59 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
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