Habib Asset Management Limited – Fund Prices for January 08, 2018
Karachi, January 08, 2018 (PPI-OT): Name of the Fund Date Offer Redemption First Habib Cash Fund January 08, 2018 103.2194 103.2194 First Habib Income Fund January 08, 2018 105.4835 104.4391 First Habib Islamic Income Fund January 08, 2018 102.4061 101.3922 First Habib Asset Allocation Fund January 08, 2018 102.5389 100.5283 First Habib Islamic Stock Fund…
Read More