Skip to Content

Monday, December 11th, 2017

PICIC Asset Management Company Limited – Daily Fund Prices PKR as of August 05 2013

Be First!
by August 5, 2013 Fund News

Karachi, August 05 2013 (PPI-OT):

Date                   Offer       Redemption              NAV
PICIC Income Fund                               August 05 2013            102.8586      101.5887
PICIC Cash Fund                                 August 06 2013            101.6608      100.6543
PICIC Stock Fund                                August 05 2013            126.4403      122.7576
PICIC Energy Fund                               August 05 2013             13.1987       12.8143
PICIC Growth Fund                               August 05 2013                                                41.4200
PICIC Investment Fund                           August 05 2013                                                18.7200

For more information, contact:
PICIC Asset Management Company Limited
9th Floor, Muhammadi House,
I.I. Chundrigarh 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