Karachi, Faysal Asset Allocation Fund (94) reported mixed market prices with an offer price of PKR 73.28 and a redemption price of PKR 70.87. The fund's year-end is in June, and it has been listed on the exchange since 2007.
Karachi, Faysal Asset Allocation Fund (94) reported mixed market prices with an offer price of PKR 73.28 and a redemption price of PKR 70.87. The fund's year-end is in June, and it has been listed on the exchange since 2007.