Karachi, May 18, 2022 (PPI-OT):
Name of the Fund Date Bid Price Offer Price
Aggressive Fund May 18, 2022 308.4152 323.8360
Balanced Fund May 18, 2022 316.6476 332.4800
Conservative Fund May 18, 2022 283.6959 297.8807
Secure Fund May 18, 2022 356.1108 373.9163
Shariah Compliant Fund May 18, 2022 201.1448 211.2020
Equity Fund May 18, 2022 331.5036 348.0788
USF Fund May 18, 2022 430.2308 451.7423IGI Life Daily Unit Prices (for Invest Pro):
Equity Fund May 18, 2022 331.5036 331.5036
USF Fund May 18, 2022 430.2308 430.2308
Secure Fund May 18, 2022 356.1108 356.1108Future Secure Funds:
Adventurous Fund May 18, 2022 411.6582 432.2411
Balanced Fund May 18, 2022 288.0937 302.4984
Cautious Fund May 18, 2022 220.6606 231.6936
Secure Fund May 18, 2022 270.7793 284.3183Sarmaya Plus Funds
Sarmaya Plus PIF May 18, 2022 260.9541 274.0018
Sarmaya Plus UGIF May 18, 2022 176.0312 184.8328
Sarmaya Plus USIF May 18, 2022 203.6051 213.7854Sarmaya Premium Funds:
Sarmaya Plus Premium PIF May 18, 2022 260.9541 260.9541
Sarmaya Plus Premium UGIF May 18, 2022 176.0312 176.0312
Sarmaya Plus Premium USIF May 18, 2022 203.6051 203.6051Takaful Funds:
Takaful Aggressive Fund May 18, 2022 112.9075 118.5529
Takaful Balanced Fund May 18, 2022 130.7340 137.2707
Takaful Conservative Fund May 18, 2022 145.5689 152.8473
For more information, contact:
Head Office,
IGI Life Insurance Limited
7th Floor, The Forum, Suit No. 701-713, G-20
Khayaban-e-Jami, Block 9, Clifton,
Karachi – 75600, Pakistan
Tel: +92-21-35360040
Fax: +92-21-35290042
Email: service-pakistan@igi.com.pk
Website: http://igilife.com.pk