Karachi: The financial results of Pak Oman Government Securities Fund for the fiscal year ending in June have been unveiled. Since its launch in 2011, the fund recorded an offer price and a redemption price both at 10.65. Distributions for the year 2021 were announced at 4.30%, "Rs 0.4321 per unit" for 2022, and "Rs 0.6510 per unit" for 2023. The previous book closure date was provided as 30-06-2021.