Karachi, March 17, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 17, 2014 100.4026 100.4026 Primus DRF March 17, 2014 100.4599 100.4599 PIML-SMAF March 17, 2014 109.69 107.54 PIML-IEF March 17, 2014 102.59 100.57 PIML-IMMF March 17, 2014 102.58 100.56 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
Read More »Primus Investment Management Limited – Daily NAV for March 14, 2014
Karachi, March 14, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 14, 2014 100.348 100.348 Primus DRF March 14, 2014 100.3953 100.3953 PIML-SMAF March 14, 2014 109.71 107.56 PIML-IEF March 14, 2014 102.52 100.51 PIML-IMMF March 14, 2014 102.53 100.52 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
Read More »Primus Investment Management Limited – Daily NAV for March 13, 2014
Karachi, March 13, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 13, 2014 100.3329 100.3329 Primus DRF March 13, 2014 100.3756 100.3756 PIML-SMAF March 13, 2014 109.62 107.47 PIML-IEF March 13, 2014 102.5 100.48 PIML-IMMF March 13, 2014 102.52 100.51 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
Read More »Primus Investment Management Limited – Daily NAV for March 12, 2014
Karachi, March 12, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 12, 2014 100.3148 100.3148 Primus DRF March 12, 2014 100.3518 100.3518 PIML-SMAF March 12, 2014 109.39 107.24 PIML-IEF March 12, 2014 102.48 100.46 PIML-IMMF March 12, 2014 102.51 100.49 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
Read More »Primus Investment Management Limited – Daily NAV for March 11, 2014
Karachi, March 11, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 11, 2014 100.2703 100.2703 Primus DRF March 11, 2014 100.3118 100.3118 PIML-SMAF March 11, 2014 110.11 107.95 PIML-IEF March 11, 2014 102.45 100.44 PIML-IMMF March 11, 2014 102.49 100.48 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
Read More »Primus Investment Management Limited – Daily NAV for March 10, 2014
Karachi, March 10, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 10, 2014 102.48 100.46 Primus DRF March 10, 2014 102.43 100.42 PIML-SMAF March 10, 2014 109.66 107.51 PIML-IEF March 10, 2014 100.2844 100.2844 PIML-IMMF March 10, 2014 100.2449 100.2449 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
Read More »Primus Investment Management Limited – Daily NAV for March 07, 2014
Karachi, March 07, 2014 (PPI-OT): Name of the Fund Date Offer Redemption Primus CF March 07, 2014 100.1892 100.1892 Primus DRF March 07, 2014 100.2174 100.2174 PIML-SMAF March 07, 2014 109.38 107.23 PIML-IEF March 07, 2014 102.37 100.35 PIML-IMMF March 07, 2014 102.43 100.42 For more information, contact: Primus Investment Management Limited 4th Floor, Horizon ...
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