IGI Financial Service – IGI daily Fund Prices
Karachi: Date Offer Redemption NAV Income Fund (IGI-IF) Oct 13, 2011 103.0023 101.9825 101.9825 Stock Fund (IGI-SF) Oct 13, 2011 112.9858 110.2300 110.2300 Islamic Income Fund (IGI-IIF) Oct 13, 2011 […]
Karachi: Date Offer Redemption NAV Income Fund (IGI-IF) Oct 13, 2011 103.0023 101.9825 101.9825 Stock Fund (IGI-SF) Oct 13, 2011 112.9858 110.2300 110.2300 Islamic Income Fund (IGI-IIF) Oct 13, 2011 […]