Skip to Content

Friday, December 15th, 2017

PICIC Asset Management Company Limited – Daily Fund Prices PKR as of August 19 2013

Be First!
by August 19, 2013 Fund News

Karachi, August 19 2013 (PPI-OT):

Date                   Offer         Redemption         NAV
PICIC Income Fund                               August 19 2013            103.1490       101.8756
PICIC Cash Fund                                 August 20 2013            101.9326       100.9234
PICIC Stock Fund                                August 19 2013            129.6743       125.8974
PICIC Energy Fund                               August 19 2013             13.6481        13.2506
PICIC Growth Fund                               August 19 2013                                            42.1900
PICIC Investment Fund                           August 19 2013                                            19.0800

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