JS Investments Limited – Funds Prices as on September 16, 2021
Karachi, September 16, 2021 (PPI-OT): Name of the Fund Applicable Date Offer Price Redemption Price NAV JS CASH FUND September 17, 2021 105.09 103.91 103.91
Karachi, September 16, 2021 (PPI-OT): Name of the Fund Applicable Date Offer Price Redemption Price NAV JS CASH FUND September 17, 2021 105.09 103.91 103.91
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