Karachi, N I(U)T Fund has declared a dividend of Rs 4.50 per unit for the month of June, as revealed in the latest financial announcements provided by the Pakistan Stock Exchange (PSE). The fund's net asset value (NAV) was reported at 67.95, experiencing a slight decrease from the previous figure of 65.97. Established in 1964, the N I(U)T Fund continues to be a significant player in the investment sector, providing investors with opportunities for growth and income.