| 2022 | January | 20

  • JETEX LONDON TO WOW PRIVATE JET FLYERS

    Jetex announces its first FBO in London, a top-tier destination for the brand’s robust international expansion Dubai, United Arab Emirates, May 20, 2022 (GLOBE NEWSWIRE) — London is a natural next destination for Jetex, an award-winning global leader in executive aviation, and it becomes the brand’s 35th international FBO location. Jetex entered in an agreement […]

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  • IGI Life Insurance Limited – Funds Prices for May 19, 2022

    Karachi, May 20, 2022 (PPI-OT): Name of the Fund Date Bid Price Offer Price Aggressive Fund May 19, 2022 310.0164 325.5172 Balanced Fund May 19, 2022 317.5234 333.3996 Conservative Fund May 19, 2022 283.8744 298.0681 Secure Fund May 19, 2022 356.7539 374.5916 Shariah Compliant Fund May 19, 2022 201.1935 211.2532 Equity Fund May 19, 2022…

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  • Alfalah Investment Management Limited – Funds Prices for May 20, 2022

    Karachi, May 20, 2022 (PPI-OT): Fund Name Applicable Date NAV Per Unit Offer Price Redemption Price Alfalah GHP Value Fund May 20, 2022 50.8419 52.5654 50.8419 Alfalah GHP Islamic Stock Fund May 20, 2022 38.0740 39.3647 38.0740 Alfalah GHP Income Multiplier Fund May 20, 2022 55.7807 57.6717 55.7807 Alfalah GHP Alpha Fund May 20, 2022…

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  • UBL Fund Managers Limited – Latest Fund Prices for May 19, 2022

    Karachi, May 20, 2022 (PPI-OT): Name of the Fund Date Offer Price Redemption Price UBL Liquidity Plus Fund May 20, 2022 101.3809 101.3809 UBL Money Market Fund May 20, 2022 109.6643 108.4389 UBL Stock Advantage Fund May 19, 2022 75.0100 72.9500 UBL Government Securities Fund May 19, 2022 107.6076 106.4052 UBL Income Opportunity Fund May…

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  • ABL Asset Management Limited – Funds Prices for May 20, 2022

    Karachi, May 20, 2022 (PPI-OT): Name of the Fund Date NAV Offer Redemption ABL Stock Fund May 20, 2022 13.6869 14.0044 13.6869 Allied Finergy Fund May 20, 2022 9.1674 9.4864 9.1674 ABL FPF-Strategic Allocation Plan May 19, 2022 79.9602 – 79.9602 ABL FPF-Active Allocation Plan May 19, 2022 80.6927 82.5648 80.6927 ABL FPF-Conservative Allocation Plan…

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