Skip to Content

Sunday, November 19th, 2017

PICIC Asset Management Company Limited – Daily Fund Prices PKR as of Sep 20, 2011

Be First!
by September 20, 2011 Fund News

Karachi:

 

Date Offer Redemption NAV
PICIC Income Fund  Sep 20, 2011  103.2047 103.2047
PICIC Cash Fund  Sep 21, 2011 100.9673 100.9577

 

For more information, contact:
PICIC Asset Management Company Limited
9th Floor, Muhammadi House, I.I. Chundrigar Road – 74000, Karachi
UAN: 1111 PICIC (74242)
Toll free: 0800 PICIC (74242)
Fax: (92-21) 32418055-56
Email:customerservice@picicamc.com
Web: www.picicamc.com

Previous
Next

Leave a Reply