Karachi, the Chief Executive Officer on behalf of the Board of Directors of National Investment Trust Limited ("the Management Company") has approved the monthly distribution of NIT-Money Market Fund for the year ending June 30, 2024. The Fund's dividend per unit has been set at Rs. 0.1728.
This dividend entitlement will be disbursed to the unit holders whose names appear on the respective Register of Unit Holders of the NIT-Money Market Fund at the close of business on July 31, 2023. Investors can expect to receive their distributions in accordance with the approved schedule.