Alfalah Investment Management Limited – Funds Prices for September 29, 2021
Karachi, September 29, 2021 (PPI-OT): Fund Name Applicable Date NAV Per Unit Offer Price Redemption Price Alfalah GHP Value Fund September 29, 2021 54.5485 56.3977
Karachi, September 29, 2021 (PPI-OT): Fund Name Applicable Date NAV Per Unit Offer Price Redemption Price Alfalah GHP Value Fund September 29, 2021 54.5485 56.3977
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