NBP Fund Management Limited – Net Asset Value for July 18, 2022
Karachi, July 18, 2022 (PPI-OT): Fund Name Date Offer Redemption NBP ISLAMIC SAVINGS FUND July 19, 2022 9.7168 9.6082 NBP SAVINGS FUND July 19, 2022
Karachi, July 18, 2022 (PPI-OT): Fund Name Date Offer Redemption NBP ISLAMIC SAVINGS FUND July 19, 2022 9.7168 9.6082 NBP SAVINGS FUND July 19, 2022
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