Faysal Asset Management Limited – Net Asset Value

Karachi: Date
Offer
Redemption Faysal Balanced Growth Fund Apr 24, 2012 67.3400 65.8500 Faysal Income and Growth Fund Apr 24, 2012 107.0600 106.0000 Faysal Savings Growth Fund Apr 24, 2012 101.3300 101.3300 Faysal Asset Allocation Fund Apr 24, 2012 72.5700 70.4500 Faysal Islamic Savings Growth Fund Apr 24, 2012 101.1900 101.1900 Faysal Money Market Fund (FMMF) Apr 25, 20Read More…