IGI Life Insurance Limited – Funds Prices for October 14, 2021
Karachi, October 14, 2021 (PPI-OT): Name of the Fund Date Bid Price Offer Price Aggressive Fund October 14, 2021 319.0673 335.0207 Balanced Fund October 14,
Karachi, October 14, 2021 (PPI-OT): Name of the Fund Date Bid Price Offer Price Aggressive Fund October 14, 2021 319.0673 335.0207 Balanced Fund October 14,
Karachi, October 14, 2021 (PPI-OT): Company Name Turnover Prv.Rate Open Rate Highest Lowest Last Rate Diff. OIL AND GAS EXPLORATION COMPANIES MARI Mari Petroleum 46040
Karachi, October 14, 2021 (PPI-OT): P. Vol.: 354964803 P.KSE100 Ind: 43221.78 P.KSE 30 Ind: 16881.07 Plus : 464 C. Vol.: 388597570 C.KSE100 Ind: 44333.68 C.KSE
Karachi, October 14, 2021 (PPI-OT): Name of the Fund Date NAV Offer Price Redemption Price EQUITY SCHEME MCB Pakistan Stock Market Fund October 14, 2021
Karachi, October 14, 2021 (PPI-OT): Company Name Turnover Prv.Rate Open Rate Highest Lowest Last Rate Diff. SYNTHETIC AND RAYON GATI Gatron Ind. 100 516.00 554.7
Karachi, October 14, 2021 (PPI-OT): Company Name Turnover Prv.Rate Open Rate Highest Lowest Last Rate Diff. EXCHANGE TRADED FUNDS MZNPETF Meezan PakistanXD 32000 8.52 8.45
Karachi, October 14, 2021 (PPI-OT): Name of the Fund Date Offer Redemption Conventional Mutual Funds HBL Money Market Fund October 15, 2021 106.3814 105.1927 HBL
Karachi, October 14, 2021 (PPI-OT): Name of the Fund Date Offer Redemption First Habib Asset Allocation Fund (FHAAF) October 14, 2021 106.1451 104.0638 First Habib
Karachi, October 14, 2021 (PPI-OT): Company Name Turnover Prv.Rate Open Rate Highest Lowest Last Rate Diff. CHEMICAL AGL Agritech Limited 344000 3.91 3.86 4.14 3.82
Karachi, October 14, 2021 (PPI-OT): Name of the Fund Date Offer Redemption NAV Open End Mutual Fund Atlas Money Market Fund October 14, 2021 508.4742
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