Atlas Asset Management – Daily Fund Price as on Sep 15, 2011
Karachi:
Date | Offer | Redemption | NAV | |
Atlas Money Market Fund | Sep 15, 2011 | 505.34 | 505.34 | 505.34 |
Atlas Income Fund | Sep 15, 2011 | 488.78 | 483.94 | 483.94 |
Atlas Stock Market Fund | Sep 15, 2011 | 334.14 | 327.59 | 327.59 |
Atlas Islamic Income Fund | Sep 15, 2011 | 517.79 | 512.66 | 512.66 |
Atlas Islamic Stock Fund* | Sep 15, 2011 | 310.40 | 303.70 | 308.32 |
Date | NAV | |
APF – Equity Sub Fund | Sep 15, 2011 | 125.28 |
APF – Debt Sub Fund | Sep 15, 2011 | 143.49 |
APF – Money Market Sub Fund | Sep 15, 2011 | 146.28 |
APIF – Equity Sub Fund | Sep 15, 2011 | 167.71 |
APIF – Debt Sub Fund | Sep 15, 2011 | 137.36 |
APIF – Money Market Sub Fund | Sep 15, 2011 | 142.92 |
Atlas Fund of Funds | Sep 15, 2011 | 10.09 |
For more information, contact:
Atlas Asset Management Limited
Ground Floor, Federation House, Sharae Firdousi, Clifton, Karachi-75600
UAN: 111-MUTUAL (6 888 25)
Fax: +9221 3537 9280
Email: info@atlasfunds.com.pk
Leave a Reply
You must be logged in to post a comment.