NBP Fund Management Limited – Net Asset Value for May 09, 2022
Karachi, May 09, 2022 (PPI-OT): Fund Name Date Offer Redemption NBP ISLAMIC SAVINGS FUND May 10, 2022 10.3618 10.2460 NBP SAVINGS FUND May 10, 2022
Karachi, May 09, 2022 (PPI-OT): Fund Name Date Offer Redemption NBP ISLAMIC SAVINGS FUND May 10, 2022 10.3618 10.2460 NBP SAVINGS FUND May 10, 2022
Karachi, May 09, 2022 (PPI-OT): Name of the Fund Date Offer Redemption AWT Income Fund May 09, 2022 117.8763 116.5592 AWT Islamic Income Fund May
Karachi, May 09, 2022 (PPI-OT): Name of the Fund Date Offer Redemption Al Habib Asset Allocation Fund May 09, 2022 102.0139 100.0136 Al Habib Cash
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