IGI Financial Service – IGI daily Fund Prices for September 20, 2013

Karachi, September 20, 2013 (PPI-OT):

                                                    Date                     NAV              Offer          Redemption
IGI Income Fund (IGI-IF)                        September 20, 2013          102.0604         103.0810         102.0604
IGI Stock Fund (IGI-SF)                         September 20, 2013          122.5244         125.5875         122.5244
IGI Islamic Income Fund (IGI-IIF)               September 20, 2013          101.5440         102.5594         101.5440
IGI Money Market Fund (IGI-MMF)                 September 20, 2013          100.5251         101.5304         100.5251
IGI Money Market Fund (IGI-AIF)                 September 20, 2013           43.0454          43.4759          43.0454
IGI Capital Protected Fund (IGI-CPF)            September 20, 2013          105.2223         107.3267          99.9612

For more information, contact:
IGI Financial Service
7th floor, The Forum,
Suite 701-713, G-20, Block 9,
Khayaban-e-Jami, Clifton,
Karachi – 75600, Pakistan.
Phone: +92-21 111-367-444
Fax: +92-21 35306752
Website: www.igifunds.com.pk

The post IGI Financial Service – IGI daily Fund Prices for September 20, 2013 appeared first on AsiaNet-Pakistan.

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