Brokerage

JS Securities Limited – JS Research (13 July 23)

Karachi, July 13, 2023 (PPI-OT): IMF approval received; estimates suggest challenging road aheadIMF’s Executive Board approved a 9-month Stand-By Arrangement (SBA) for Pakistan, helping Pakistan to get ~US$3bn, with the first tranche (~US$1.2bn) disbur…

General

JS Bank Recognized as the Most Innovative Digital Banking Service Provider by International Finance Awards

Karachi, July 13, 2023 (PPI-OT): JS Bank, one of the fastest-growing banks in Pakistan, has been recognized as the Most Innovative Digital Banking Service Provider in 2023 by the International Finance Awards. The award is a recognition of the Bank’s vi…

Fund News

Fysal Funds – Funds Prices for July 13, 2023

Karachi, July 13, 2023 (PPI-OT): Name of the Fund Validity Date Offer Price Redemption Price Faysal Stock Fund July 12, 2023 47.01 45.4600 Faysal Income and Growth Fund July 12, 2023 112.2 109.7200 Faysal Savings Growth Fund July 12, 2023 107.27 104.8900 Faysal Asset Allocation Fund July 12, 2023 68.26 66.0200 Faysal Islamic Savings Growth […]

Fund News

AL Habib Asset Management Limited – Fund Prices for July 13, 2023

Karachi, July 13, 2023 (PPI-OT): Name of the Fund Date Offer Redemption Al Habib Asset Allocation Fund July 12, 2023 99.9711 98.0109 Al Habib Cash Fund July 14, 2023 104.1052 102.0639 AL Habib Fixed Return Fund Plan II June 15, 2023 0.0000 104.3300 AL Habib Fixed Return Fund Plan III July 12, 2023 0.0000 100.9570 […]

Fund News

HL Asset Management Limited – Daily Funds Prices for July 13, 2023

Karachi, July 13, 2023 (PPI-OT): Name of the Fund Date Offer Redemption Conventional Mutual Funds HBL Money Market Fund July 13, 2023 104.8999 103.7278 HBL Cash Fund July 13, 2023 103.8562 102.6957 HBL Income Fund July 12, 2023 115.1908 113.2709 HBL Government Securities Fund July 13, 2023 116.4039 113.8313 HBL Multi Asset Fund July 13, […]

Fund News

MB-Arif Habib Savings and Investments Limited – Daily Funds Prices for July 13, 2023

Karachi, July 13, 2023 (PPI-OT): Name of the Fund Date NAV Offer Price Redemption Price EQUITY SCHEME MCB Pakistan Stock Market Fund July 11, 2023 92.5896 95.7284 92.5896 INCOME SCHEME Pakistan Income Fund July 11, 2023 55.0983 56.3435 55.0983 MCB Pakistan Sovereign Fund July 11, 2023 54.25 55.17 54.2500 MCB DCF Income Fund July 11, […]

Fund News

UL Fund Managers Limited – Latest Fund Prices for July 13, 2023

Karachi, July 13, 2023 (PPI-OT): Name of the Fund Date Offer Price Redemption Price UBL Fixed Return Plan-I-A November 22, 2022 102.0331 102.0331 UBL Liquidity Plus Fund July 13, 2023 102.6579 101.5108 UBL Money Market Fund July 13, 2023 78.2100 76.0600 UBL Stock Advantage Fund July 13, 2023 107.9578 106.7515 UBL Government Securities Fund July […]