Faysal Asset Management Limited – Net Asset Value for October 29 2014

Karachi, October 29, 2014 (PPI-OT):


Name of the Fund Date Offer Redemption
Faysal Asset Allocation Fund October 29, 2014 66.4800 66.4800
Faysal Balanced Growth Fund October 29, 2014 61.4700 61.4700
Faysal Financial Sector Opportunity Fund October 29, 2014 105.5100 103.6900
Faysal Income and growth Fund October 29, 2014 108.2300 108.2300
Faysal Islamic Savings Growth Fund October 29, 2014 104.6700 104.6700
Faysal Money Market Fund (FMMF) October 29, 2014 103.7200 103.7200
Faysal Savings Growth Fund October 29, 2014 105.2400 105.2400

For more information, contact:
Faysal Asset Management Limited
8th Floor, Tower A (801-806 and 818),
Saima Trade Tower,
I.I. Chundrigarh Road,
Karachi
UAN: 111 329 725
Fax: +9221 227 7301
Email: customerservice@faysalfunds.com
Web: http://www.faysalfunds.com/

The post Faysal Asset Management Limited – Net Asset Value for October 29 2014 appeared first on Business News Pakistan.

The post Faysal Asset Management Limited – Net Asset Value for October 29 2014 appeared first on AsiaNet-Pakistan.



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