National

LATEST NATIONAL NEWS. READ MORE

Business News

Current Business News. Read More

Company News

Corporate Company News. Read more

Official News

Government Official News. Read more

Press Releases

All Press Releases. Read More

Advertisement
Home » Archive by Tags

Articles tagged with: PICIC Asset Management Company Limited

PICIC Asset Management Company Limited – Daily Fund Prices PKR as of Feb 22, 2012

February 22, 2012 – 3:41 pm | No Comment

Karachi:   Date Offer Redemption NAV PICIC Income Fund Feb 22, 2012 102.6855 102.6855 PICIC Cash Fund Feb 23, 2012 102.0287 101.0185 PICIC Stock Fund Feb 22, 2012 109.2169 106.0358 […]

PICIC Asset Management Company Limited – Daily Fund Prices PKR as of Feb 22, 2012

February 22, 2012 – 3:41 pm | No Comment

Karachi:   Date Offer Redemption NAV PICIC Income Fund Feb 22, 2012 102.6855 102.6855 PICIC Cash Fund Feb 23, 2012 102.0287 101.0185 PICIC Stock Fund Feb 22, 2012 109.2169 106.0358 […]

PICIC Asset Management Company Limited – Daily Fund Prices PKR as of Feb 21, 2012

February 21, 2012 – 5:45 pm | No Comment

Karachi:   Date Offer Redemption NAV PICIC Income Fund Feb 21, 2012 102.6825 102.6825 PICIC Cash Fund Feb 22, 2012 102.0035 100.9936 PICIC Stock Fund Feb 21, 2012 108.9849 105.8106 […]

PICIC Asset Management Company Limited – Daily Fund Prices PKR as of Feb 20, 2012

February 20, 2012 – 5:25 pm | No Comment

Karachi:   Date Offer Redemption NAV PICIC Income Fund Feb 20, 2012 102.6643 102.6643 PICIC Cash Fund Feb 21, 2012 101.9773 100.9676 PICIC Stock Fund Feb 20, 2012 108.1627 105.0123 […]

PICIC Asset Management Company Limited’s change of chief financial officer and company secretary

February 17, 2012 – 4:15 pm | No Comment

Karachi: We have to inform you that Mr. Ahmed Raza has resigned from the office of Chief Financial Officer and Company Secretary of the PICIC Asset Management Company Limited (PICICAMC) […]

PICIC Asset Management Company Limited – Daily Fund Prices PKR as of Feb 13, 2012

February 13, 2012 – 4:43 pm | No Comment

Karachi:   Date Offer Redemption NAV PICIC Income Fund Feb 13, 2012 102.5020 102.5020 PICIC Cash Fund Feb 14, 2012 101.7733 100.7656 PICIC Stock Fund Feb 13, 2012 106.0260 102.7379 […]