Faysal Asset Allocation Fund Reports Modest Distribution for 2021

Karachi, In the Pakistan Stock Exchange's recent market report, the Faysal Asset Allocation Fund, listed in 2007, showed an offer price of 84.55 and a redemption price of 81.77 as of June 2023. The fund reported a distribution of 3.50% for 2021, with no distributions noted for the subsequent years.