Day: April 22, 2024

Hafiz Limited. Continues Steady Dividend Payout

Karachi, Hafiz Limited (HAFL) maintained a steady dividend payout of 20% with an unavailable EPS for the period. The company’s shares were traded at a daily weighted average rate of Rs. 12.00, reaching a high of Rs. 194.15. With a paid-up capital of R…

Askari Equity and High Yield Scheme Financials

Karachi, Askari Equity Fund listed its prices at PKR 109.64 for offering and PKR 107.45 for redemption. The High Yield Scheme announced a distribution rate of Rs 4.9427 per unit initially and Rs 8.2722 per unit thereafter. No further financial adjustm…

Islamic Asset Allocation Fund by Askari Updates

Karachi, The Askari Islamic Asset Allocation Fund along with its Class B and C units have seen no new distributions. The offering prices for these units were noted at PKR 108.04 and PKR 105.34, respectively, with redemption prices following closely.

Askari Islamic Income Funds Announce June Distributions

Karachi, Askari Islamic Income Fund, Class B Units announced an offer price of PKR 102.74 and a redemption price of PKR 101.71, along with a distribution of PKR 6.4321 per unit for June 2024, an increase from PKR 4.5854 per unit in June 2023. The fund…

Askari Funds Report Mixed Distributions in June

Karachi, Askari Sovereign Cash Fund and Askari Sovereign Yield Enhancer have both released their June distribution details. The Sovereign Cash Fund maintained a stable offer and redemption price at PKR 111.37, with distributions decreasing from PKR 4….

Atlas Income Fund Maintains High Distribution in June

Karachi, The Atlas Income Fund has declared a significant distribution of PKR 24 per unit for June 2024, consistent with its previous years’ payouts. Both the offer and redemption prices stood firm at PKR 616.84. The fund, which was listed in 2004, co…