Open-End Funds |
786 Investments Limited |
786 Islamic Money Market Fund |
Shariah Compliant Money Market |
Oct 22, 2024
|
103.3932 |
102.3695 |
102.3695 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
786 Investments Limited |
786 Smart Fund |
Shariah Compliant Income |
May 20, 2003
|
86.6075 |
85.7500 |
85.7500 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
ABL Asset Management Company Limited |
ABL Islamic Pension Fund |
VPS-Shariah Compliant Debt |
Aug 20, 2014
|
223.0873 |
215.5849 |
215.5849 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
ABL Asset Management Company Limited |
ABL Islamic Pension Fund |
VPS-Shariah Compliant Equity |
Aug 20, 2014
|
581.6935 |
562.1313 |
562.1313 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
ABL Asset Management Company Limited |
ABL GOKP Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Apr 23, 2024
|
0.0000 |
116.1942 |
116.1942 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
ABL Asset Management Company Limited |
ABL Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Aug 20, 2014
|
225.2246 |
217.6504 |
217.6504 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
ABL Asset Management Company Limited |
ABL Pension Fund |
VPS-Debt |
Aug 20, 2014
|
361.7484 |
349.5829 |
349.5829 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
ABL Asset Management Company Limited |
ABL Pension Fund |
VPS-Equity |
Aug 20, 2014
|
603.3446 |
583.0543 |
583.0543 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
ABL Asset Management Company Limited |
ABL GOKP Pension Fund |
VPS-Money Market |
Apr 23, 2024
|
0.0000 |
121.8139 |
121.8139 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
ABL Asset Management Company Limited |
ABL Pension Fund |
VPS-Money Market |
Aug 20, 2014
|
276.0530 |
266.7694 |
266.7694 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Cash Fund |
Money Market |
Jul 31, 2010
|
10.5627 |
10.4716 |
10.4716 |
Sep 18, 2025
|
1 |
2 |
1 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Financial Planning Fund (Conservative Plan) |
Fund of Funds |
Dec 31, 2015
|
116.9792 |
114.3268 |
114.3268 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Financial Planning Fund (Strategic Allocation Plan) |
Fund of Funds |
Dec 30, 2016
|
0.0000 |
92.8113 |
92.8113 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Financial Sector Fund Plan I |
Income |
Aug 01, 2023
|
10.4630 |
10.2258 |
10.2258 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
ABL Asset Management Company Limited |
ABL Fixed Rate Plan V |
Fixed Rate / Return |
Sep 05, 2024
|
0.0000 |
10.2269 |
10.2269 |
Sep 04, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Fixed Rate Plan XIX |
Fixed Rate / Return |
Jun 24, 2025
|
0.0000 |
10.2184 |
10.2184 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Fixed Rate Plan XVII |
Fixed Rate / Return |
Sep 11, 2025
|
0.0000 |
10.0184 |
10.0184 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Fixed Rate Plan XVIII |
Fixed Rate / Return |
Jul 17, 2025
|
0.0000 |
10.1694 |
10.1694 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Government Securities Fund |
Income |
Nov 29, 2011
|
10.5660 |
10.3853 |
10.3853 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Income Fund |
Income |
Sep 19, 2008
|
10.5986 |
10.4173 |
10.4173 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Islamic Asset Allocation Fund |
Shariah Compliant Asset Allocation |
May 31, 2018
|
10.3110 |
9.9642 |
9.9642 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Islamic Cash Fund |
Shariah Compliant Money Market |
Feb 13, 2020
|
10.1673 |
10.0507 |
10.0507 |
Sep 18, 2025
|
1 |
0 |
0 |
0.00000 |
CDC |
Dedicated Equity Funds |
ABL Asset Management Company Limited |
ABL Islamic Dedicated Stock Fund |
Shariah Compliant Dedicated Equity |
Dec 19, 2016
|
0.0000 |
17.4314 |
17.4314 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Islamic Financial Planning Fund (Active Allocation Plan) |
Shariah Compliant Fund of Funds |
Dec 22, 2015
|
101.4300 |
99.1302 |
99.1302 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Islamic Financial Planning Fund (Capital Preservation Plan I) |
Shariah Compliant Fund of Funds - CPPI |
Mar 29, 2019
|
0.0000 |
108.0973 |
108.0973 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Islamic Financial Planning Fund (Conservative Allocation Plan) |
Shariah Compliant Fund of Funds |
Dec 22, 2015
|
120.7746 |
118.0362 |
118.0362 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Islamic Income Fund |
Shariah Compliant Income |
Jul 31, 2010
|
10.6750 |
10.4924 |
10.4924 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Islamic Money Market Plan I |
Shariah Compliant Money Market |
Dec 22, 2023
|
10.4640 |
10.2267 |
10.2267 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Islamic Sovereign Plan I |
Shariah Compliant Income |
Jul 22, 2024
|
10.6004 |
10.2439 |
10.2439 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Islamic Stock Fund |
Shariah Compliant Equity |
Jun 11, 2013
|
32.8181 |
32.0740 |
32.0740 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Money Market Plan I |
Money Market |
Nov 15, 2023
|
10.4622 |
10.2250 |
10.2250 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Optimal Asset Allocation Fund |
Asset Allocation |
Sep 03, 2025
|
10.3886 |
10.0392 |
10.0392 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Special Saving Fund (ABL Special Saving Plan I) |
Capital Protected |
Sep 19, 2019
|
10.4498 |
10.3300 |
10.3300 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Special Saving Fund (ABL Special Saving Plan II) |
Capital Protected |
Sep 20, 2019
|
11.0052 |
10.7557 |
10.7557 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Special Saving Fund (ABL Special Saving Plan III) |
Capital Protected |
Oct 11, 2019
|
10.6705 |
10.4286 |
10.4286 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Special Saving Fund (ABL Special Saving Plan IV) |
Capital Protected |
Dec 06, 2019
|
10.5021 |
10.3817 |
10.3817 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Special Saving Fund (ABL Special Saving Plan V) |
Capital Protected |
Feb 26, 2021
|
10.4448 |
10.3250 |
10.3250 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Special Saving Fund (ABL Special Saving Plan VI) |
Capital Protected |
Aug 05, 2022
|
10.3462 |
10.2276 |
10.2276 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
ABL Stock Fund |
Equity |
Jun 28, 2009
|
35.4977 |
34.6928 |
34.6928 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
ABL Asset Management Company Limited |
Allied Finergy Fund |
Asset Allocation |
Nov 23, 2018
|
15.7262 |
15.1973 |
15.1973 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AKD Investment Management Limited |
AKD Aggressive Income Fund |
Aggressive Fixed Income |
Mar 22, 2007
|
57.6986 |
57.0426 |
57.0426 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AKD Investment Management Limited |
AKD Cash Fund |
Money Market |
Jan 20, 2012
|
53.0619 |
53.0619 |
53.0619 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AKD Investment Management Limited |
AKD Index Tracker Fund |
Index Tracker |
Oct 11, 2005
|
38.4032 |
37.9665 |
37.9665 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AKD Investment Management Limited |
AKD Islamic Cash Fund (Formerly AKD Islamic Daily Dividend Fund) |
Shariah Compliant Money Market |
Feb 17, 2023
|
50.2112 |
50.2112 |
50.2112 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AKD Investment Management Limited |
AKD Islamic Income Fund |
Shariah Compliant Income |
Feb 20, 2018
|
53.3195 |
52.7133 |
52.7133 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
AKD Investment Management Limited |
AKD Islamic Stock Fund |
Shariah Compliant Equity |
Feb 20, 2018
|
109.4135 |
105.7647 |
105.7647 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
AKD Investment Management Limited |
AKD Opportunity Fund |
Equity |
Mar 31, 2006
|
217.7172 |
210.4564 |
210.4564 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AKD Investment Management Limited |
Golden Arrow Stock Fund |
Equity |
May 09, 1983
|
37.2718 |
36.0288 |
36.0288 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
AL Habib Asset Management Limited |
AL Habib Islamic Pension Fund |
VPS-Shariah Compliant Debt |
Sep 05, 2022
|
164.6630 |
159.8670 |
159.8670 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
AL Habib Asset Management Limited |
AL Habib Islamic Pension Fund |
VPS-Shariah Compliant Equity |
Sep 05, 2022
|
474.6658 |
460.8406 |
460.8406 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
AL Habib Asset Management Limited |
AL Habib GOKP Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Jan 03, 2024
|
127.1193 |
127.1193 |
127.1193 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
AL Habib Asset Management Limited |
AL Habib Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Sep 05, 2022
|
162.0269 |
157.3077 |
157.3077 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
AL Habib Asset Management Limited |
AL Habib Pension Fund |
VPS-Debt |
Jun 30, 2022
|
178.1106 |
172.9229 |
172.9229 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
AL Habib Asset Management Limited |
AL Habib Pension Fund |
VPS-Equity |
Jun 30, 2022
|
500.4875 |
485.9102 |
485.9102 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
AL Habib Asset Management Limited |
AL Habib GOKP Pension Fund |
VPS-Money Market |
Jan 03, 2024
|
129.6153 |
129.6153 |
129.6153 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
AL Habib Asset Management Limited |
AL Habib Pension Fund |
VPS-Money Market |
Jun 30, 2022
|
173.6708 |
168.6124 |
168.6124 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Asset Allocation Fund |
Asset Allocation |
Nov 08, 2017
|
121.3302 |
118.9512 |
118.9512 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Cash Fund |
Money Market |
Mar 10, 2011
|
106.9275 |
103.8131 |
103.8131 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Fixed Return Fund Plan 19 |
Fixed Rate / Return |
Mar 06, 2025
|
102.1872 |
102.1872 |
102.1872 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Fixed Return Fund Plan 20 |
Fixed Rate / Return |
Mar 06, 2025
|
102.3419 |
102.3419 |
102.3419 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Fixed Return Fund Plan 21 |
Fixed Rate / Return |
Mar 06, 2025
|
0.0000 |
0.0000 |
0.0000 |
Aug 23, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Fixed Return Fund Plan 22 |
Fixed Rate / Return |
May 21, 2025
|
102.1240 |
102.1240 |
102.1240 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Fixed Return Fund Plan 23 |
Fixed Rate / Return |
Aug 22, 2025
|
100.6718 |
100.6718 |
100.6718 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Fixed Return Fund Plan 24 |
Fixed Rate / Return |
Aug 22, 2025
|
100.6994 |
100.6994 |
100.6994 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Government Securities Fund |
Income |
Jul 13, 2023
|
105.7074 |
102.6285 |
102.6285 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Income Fund |
Income |
May 29, 2007
|
107.5713 |
104.4382 |
104.4382 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Islamic Cash Fund |
Shariah Compliant Money Market |
Dec 20, 2021
|
105.4940 |
102.4214 |
102.4214 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Islamic Income Fund |
Shariah Compliant Income |
Jan 23, 2017
|
107.1501 |
104.0292 |
104.0292 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Islamic Savings Fund |
Shariah Compliant Income |
Dec 20, 2021
|
105.6841 |
102.6059 |
102.6059 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Islamic Stock Fund |
Shariah Compliant Equity |
Nov 09, 2012
|
180.7745 |
177.2299 |
177.2299 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Money Market Fund |
Money Market |
Dec 20, 2021
|
105.7139 |
102.6349 |
102.6349 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Sovereign Income Fund Plan 1 |
Income |
Jun 03, 2025
|
102.1816 |
102.1816 |
102.1816 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Sovereign Income Fund Plan 2 |
Income |
Jun 19, 2025
|
102.2627 |
102.2627 |
102.2627 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Sovereign Income Fund Plan 3 |
Income |
Jun 19, 2025
|
102.3290 |
102.3290 |
102.3290 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AL Habib Asset Management Limited |
AL Habib Stock Fund |
Equity |
Oct 08, 2009
|
164.0068 |
160.7910 |
160.7910 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Al Meezan Investment Management Limited |
Meezan Tahaffuz Pension Fund |
VPS-Shariah Compliant Debt |
Jun 28, 2007
|
0.0000 |
0.0000 |
491.0323 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Al Meezan Investment Management Limited |
Meezan Tahaffuz Pension Fund |
VPS-Shariah Compliant Equity |
Jun 28, 2007
|
0.0000 |
0.0000 |
1727.5473 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
Al Meezan Investment Management Limited |
Meezan GOKP Pension Fund |
VPS-Shariah Compliant Money Market |
Dec 14, 2023
|
0.0000 |
0.0000 |
132.7417 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Al Meezan Investment Management Limited |
Meezan Tahaffuz Pension Fund |
VPS-Shariah Compliant Money Market |
Jun 28, 2007
|
0.0000 |
0.0000 |
488.4615 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Al Meezan Mutual Fund |
Shariah Compliant Equity |
Jul 13, 1995
|
49.2220 |
48.1154 |
48.1154 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
KSE Meezan Index Fund |
Shariah Compliant Index Tracker |
May 28, 2012
|
177.6373 |
173.2202 |
173.2202 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Asset Allocation Fund |
Shariah Compliant Asset Allocation |
Apr 18, 2016
|
115.7720 |
111.9111 |
111.9111 |
Sep 16, 2025
|
0.2 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Balanced Fund |
Shariah Compliant Balanced |
Dec 20, 2004
|
27.2563 |
26.6435 |
26.6435 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Cash Fund |
Shariah Compliant Money Market |
Jun 15, 2009
|
52.4454 |
52.4454 |
52.4454 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Daily Income Fund (MDIP I) |
Shariah Compliant Income |
Sep 13, 2021
|
50.5750 |
50.0000 |
50.0000 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Daily Income Fund (Meezan Mahana Munafa Plan) |
Shariah Compliant Income |
Oct 29, 2022
|
50.0000 |
50.0000 |
50.0000 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Daily Income Fund (Meezan Munafa Plan I) |
Shariah Compliant Income |
Aug 29, 2023
|
52.0237 |
51.4323 |
51.4323 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Daily Income Fund (Meezan Sehl Account Plan) (MSHP) |
Shariah Compliant Income |
Jun 19, 2023
|
51.3681 |
51.3681 |
51.3681 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Daily Income Fund (Meezan Super Saver Plan) (MSSP) |
Shariah Compliant Income |
Apr 22, 2024
|
51.3579 |
51.3579 |
51.3579 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Dedicated Equity Funds |
Al Meezan Investment Management Limited |
Meezan Dedicated Equity Fund |
Shariah Compliant Dedicated Equity |
Oct 06, 2017
|
94.6451 |
91.4888 |
91.4888 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Dynamic Asset Allocation Fund (Meezan Dividend Yield Plan) |
Shariah Compliant Asset Allocation |
Aug 28, 2024
|
83.0114 |
81.1451 |
81.1451 |
Sep 17, 2025
|
2 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Energy Fund |
Shariah Compliant Equity |
Nov 30, 2016
|
59.3971 |
57.4163 |
57.4163 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Financial Planning Fund of Funds (Aggressive) |
Shariah Compliant Fund of Funds |
Apr 12, 2013
|
178.2060 |
174.1995 |
174.1995 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Financial Planning Fund of Funds (Conservative) |
Shariah Compliant Fund of Funds |
Apr 12, 2013
|
118.5243 |
117.1768 |
117.1768 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Financial Planning Fund of Funds (MAAP I) |
Shariah Compliant Fund of Funds |
Jul 09, 2015
|
0.0000 |
138.5862 |
138.5862 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Financial Planning Fund of Funds (Moderate) |
Shariah Compliant Fund of Funds |
Apr 12, 2013
|
141.9493 |
139.5422 |
139.5422 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Financial Planning Fund of Funds (Very Conservative Allocation Plan) |
Shariah Compliant Fund of Funds |
Aug 18, 2023
|
52.3926 |
51.7970 |
51.7970 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Gold Fund |
Shariah Compliant Commodities |
Aug 13, 2015
|
259.5756 |
248.7705 |
251.2833 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Islamic Fund |
Shariah Compliant Equity |
Aug 08, 2003
|
160.2007 |
156.5990 |
156.5990 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Islamic Income Fund |
Shariah Compliant Income |
Jan 15, 2007
|
53.3797 |
52.7729 |
52.7729 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Paidaar Munafa Plan XIV |
Shariah Compliant Fixed Rate / Return |
Feb 02, 2025
|
0.0000 |
51.7604 |
51.7604 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Paidaar Munafa Plan XXII |
Shariah Compliant Fixed Rate / Return |
Jul 30, 2025
|
0.0000 |
50.6217 |
50.6217 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Paidaar Munafa Plan XXIII |
Shariah Compliant Fixed Rate / Return |
Jul 31, 2025
|
0.0000 |
50.6441 |
50.6441 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Paidaar Munafa Plan XXV |
Shariah Compliant Fixed Rate / Return |
Sep 09, 2025
|
0.0000 |
50.1007 |
50.1007 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Exchange Traded Fund (ETF) |
Al Meezan Investment Management Limited |
Meezan Pakistan ETF |
Shariah Compliant Exchange Traded Fund |
Oct 06, 2020
|
19.5586 |
19.5586 |
19.5586 |
Sep 17, 2025
|
0 |
0 |
0 |
19.61000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Rozana Amdani Fund |
Shariah Compliant Money Market |
Dec 28, 2018
|
50.0000 |
50.0000 |
50.0000 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Sovereign Fund |
Shariah Compliant Income |
Feb 10, 2010
|
53.8202 |
53.2084 |
53.2084 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Strategic Allocation Fund (MSAP I) |
Shariah Compliant Fund of Funds |
Oct 19, 2016
|
0.0000 |
91.9918 |
91.9918 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Strategic Allocation Fund (MSAP II) |
Shariah Compliant Fund of Funds |
Dec 22, 2016
|
0.0000 |
78.8301 |
78.8301 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Strategic Allocation Fund (MSAP III) |
Shariah Compliant Fund of Funds |
Feb 20, 2017
|
0.0000 |
87.2478 |
87.2478 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Strategic Allocation Fund (MSAP IV) |
Shariah Compliant Fund of Funds |
Apr 24, 2017
|
0.0000 |
91.6379 |
91.6379 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Al Meezan Investment Management Limited |
Meezan Strategic Allocation Fund (MSAP V) |
Shariah Compliant Fund of Funds |
Aug 17, 2017
|
0.0000 |
103.4522 |
103.4522 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Al Meezan Investment Management Limited |
Meezan Tahaffuz Pension Fund |
VPS-Shariah Compliant Commodities / Gold |
Aug 04, 2016
|
0.0000 |
0.0000 |
467.3589 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Alfalah Asset Management Limited |
Alfalah GHP Islamic Pension Fund |
VPS-Shariah Compliant Debt |
Nov 08, 2016
|
211.3503 |
204.3019 |
204.3019 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Alfalah Asset Management Limited |
Alfalah GHP Islamic Pension Fund |
VPS-Shariah Compliant Equity |
Nov 08, 2016
|
316.1851 |
305.6405 |
305.6405 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Alfalah Asset Management Limited |
Alfalah GHP Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Nov 08, 2016
|
216.0933 |
208.8867 |
208.8867 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
Alfalah Asset Management Limited |
Alfalah Islamic KPK Employee Pension Fund |
VPS-Shariah Compliant Money Market |
Dec 14, 2023
|
125.2749 |
125.2749 |
125.2749 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Alfalah Asset Management Limited |
Alfalah GHP Pension Fund |
VPS-Debt |
Nov 08, 2016
|
243.2567 |
235.1442 |
235.1442 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Alfalah Asset Management Limited |
Alfalah Pension Fund - II (Formerly: Faysal Pension Fund) |
VPS-Debt |
Oct 05, 2021
|
169.1794 |
163.5374 |
163.5374 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Alfalah Asset Management Limited |
Alfalah GHP Pension Fund |
VPS-Equity |
Nov 08, 2016
|
318.7964 |
308.1647 |
308.1647 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Alfalah Asset Management Limited |
Alfalah Pension Fund - II (Formerly: Faysal Pension Fund) |
VPS-Equity |
Oct 05, 2021
|
234.8171 |
226.9861 |
226.9861 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Alfalah Asset Management Limited |
Alfalah GHP Pension Fund |
VPS-Money Market |
Nov 08, 2016
|
246.4982 |
238.2776 |
238.2776 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
Alfalah Asset Management Limited |
Alfalah KPK Employee Pension Fund |
VPS-Money Market |
Dec 14, 2023
|
129.4429 |
129.4429 |
129.4429 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Alfalah Asset Management Limited |
Alfalah Pension Fund - II (Formerly: Faysal Pension Fund) |
VPS-Money Market |
Oct 05, 2021
|
176.6995 |
170.8067 |
170.8067 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Asset Allocation Fund (Formerly: Faysal Asset Allocation Fund) |
Asset Allocation |
Jul 24, 2006
|
77.0900 |
74.5100 |
74.5100 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Cash Fund - II (Formerly: Faysal Cash Fund) |
Money Market |
Dec 22, 2020
|
107.1522 |
104.7431 |
104.7431 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Exchange Traded Fund (ETF) |
Alfalah Asset Management Limited |
Alfalah Consumer Index Exchange Traded Fund |
Exchange Traded Fund |
Jan 17, 2022
|
19.0200 |
19.0200 |
19.0200 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Financial Sector Income Fund |
Income |
Aug 02, 2023
|
104.8654 |
102.5077 |
102.5077 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Financial Sector Income Plan II |
Income |
Jul 15, 2024
|
0.0000 |
0.0000 |
0.0000 |
Jun 11, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Financial Sector Opportunity Fund (Formerly: Faysal Financial Sector Opportunity Fund) |
Income |
Jul 05, 2013
|
121.0500 |
118.3200 |
118.3200 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Financial Value Fund (Alfalah Financial Value Plan I) |
Asset Allocation |
Oct 19, 2023
|
145.1546 |
140.3138 |
140.3138 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Financial Value Fund - II (Formerly Faysal Financial Value Fund) |
Asset Allocation |
Feb 10, 2025
|
107.9800 |
104.3800 |
104.3800 |
Sep 17, 2025
|
3 |
3 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Alpha Fund |
Equity |
Sep 09, 2008
|
107.4742 |
103.8867 |
103.8900 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Cash Fund |
Money Market |
Mar 13, 2010
|
526.8637 |
515.0183 |
515.0183 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Dedicated Equity Funds |
Alfalah Asset Management Limited |
Alfalah GHP Dedicated Equity Fund |
Dedicated Equity |
Nov 28, 2022
|
197.3008 |
192.8649 |
192.8649 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Income Fund |
Income |
Apr 14, 2007
|
119.2164 |
116.5361 |
116.5361 |
Sep 17, 2025
|
2 |
3 |
3 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Income Multiplier Fund |
Aggressive Fixed Income |
Jun 15, 2007
|
61.7582 |
59.6986 |
59.6986 |
Sep 17, 2025
|
6 |
6 |
6 |
0.00000 |
CDC |
Dedicated Equity Funds |
Alfalah Asset Management Limited |
Alfalah GHP Islamic Dedicated Equity Fund |
Shariah Compliant Dedicated Equity |
May 25, 2017
|
114.9047 |
112.9562 |
112.9562 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Islamic Income Fund |
Shariah Compliant Income |
Dec 03, 2009
|
108.0905 |
105.6603 |
105.6603 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Islamic Prosperity Planning Fund (Alfalah GHP Islamic Active Allocation Plan II) |
Shariah Compliant Fund of Funds |
Nov 01, 2016
|
101.2844 |
98.4539 |
98.4539 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Islamic Prosperity Planning Fund (Alfalah GHP Islamic Balance Allocation Plan) |
Shariah Compliant Fund of Funds |
Jun 11, 2016
|
107.7071 |
106.1808 |
106.1808 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Islamic Prosperity Planning Fund (Alfalah GHP Islamic Moderate Allocation Plan) |
Shariah Compliant Fund of Funds |
Jun 11, 2016
|
0.0000 |
113.2521 |
113.2521 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Islamic Stock Fund |
Shariah Compliant Equity |
Sep 03, 2007
|
71.4380 |
69.0556 |
69.0556 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Islamic Value Fund |
Shariah Compliant Asset Allocation |
Oct 12, 2017
|
134.9752 |
131.9406 |
131.9406 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Money Market Fund |
Money Market |
May 27, 2010
|
103.4495 |
101.1237 |
101.1237 |
Sep 17, 2025
|
1 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Prosperity Planning Fund (Alfalah GHP Active Allocation Plan) |
Fund of Funds |
Sep 12, 2015
|
117.1480 |
114.5142 |
114.5142 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Prosperity Planning Fund (Alfalah GHP Conservative Allocation Plan) |
Fund of Funds |
Sep 12, 2015
|
116.7603 |
115.4328 |
115.4328 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Prosperity Planning Fund (Alfalah GHP Moderate Allocation Plan) |
Fund of Funds |
Sep 12, 2015
|
110.9697 |
109.0879 |
109.0879 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Prosperity Planning Fund (Capital Preservation Plan IV) |
Fund of Funds |
May 16, 2024
|
0.0000 |
109.5603 |
109.5603 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Sovereign Fund |
Income |
May 10, 2014
|
112.4523 |
109.9240 |
109.9240 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Stock Fund |
Equity |
Jul 15, 2008
|
186.0395 |
180.8403 |
180.8403 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah GHP Value Fund |
Asset Allocation |
Oct 28, 2005
|
86.7417 |
83.8489 |
83.8489 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Government Securities Fund - II (Formerly: Faysal Government Securities Fund) |
Income |
Mar 16, 2020
|
131.4100 |
128.4500 |
128.4500 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Government Securities Fund Plan I |
Income |
Sep 10, 2024
|
105.5369 |
102.0173 |
102.0173 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Government Securities Fund Plan II |
Income |
Nov 12, 2024
|
105.4014 |
101.8863 |
101.8863 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Income & Growth Fund (Formerly: Faysal Income & Growth Fund) |
Aggressive Fixed Income |
Oct 10, 2005
|
121.5000 |
118.7600 |
118.7600 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Islamic Money Market Fund |
Shariah Compliant Money Market |
Apr 13, 2023
|
104.8182 |
102.4616 |
102.4616 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Islamic Rozana Amdani Fund |
Shariah Compliant Money Market |
Sep 21, 2020
|
102.3000 |
100.0000 |
100.0000 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Islamic Sovereign Fund (Alfalah Islamic Sovereign Plan I) |
Shariah Compliant Income |
Sep 26, 2023
|
103.7263 |
100.2671 |
100.2671 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Islamic Sovereign Fund (Alfalah Islamic Sovereign Plan II) |
Shariah Compliant Income |
Dec 13, 2023
|
116.1342 |
112.2612 |
112.2612 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Islamic Sovereign Fund (Alfalah Islamic Sovereign Plan III) |
Shariah Compliant Income |
Aug 22, 2024
|
105.8611 |
102.3307 |
102.3307 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Islamic Stable Return Fund Plan V |
Shariah Compliant Fixed Rate / Return |
Aug 07, 2025
|
0.0000 |
101.1963 |
101.1963 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah KTrade Islamic Plan VII |
Shariah Compliant Fund of Funds |
Aug 21, 2023
|
130.3776 |
126.0296 |
126.0296 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Money Market Fund - II (Formerly: Faysal Money Market Fund) |
Money Market |
Dec 13, 2010
|
108.0064 |
105.5781 |
105.5781 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah MTS Fund (Formerly: Faysal MTS Fund) |
Income |
Apr 11, 2016
|
108.6200 |
106.1800 |
106.1800 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Savings Growth Fund (Formerly: Faysal Savings Growth Fund) |
Income |
May 11, 2007
|
109.0500 |
106.6000 |
106.6000 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Special Savings Fund - I (Formerly: Faysal Special Savings Plan I) |
Capital Protected |
Oct 01, 2021
|
140.7900 |
137.6300 |
137.6300 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Special Savings Fund - II (Formerly: Faysal Special Savings Plan II) |
Capital Protected |
Jul 26, 2022
|
111.3400 |
108.8300 |
108.8300 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Stable Return Fund Plan XVIII |
Fixed Rate / Return |
Feb 27, 2025
|
102.4649 |
102.4649 |
102.4649 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Stable Return Fund Plan XX |
Fixed Rate / Return |
May 15, 2025
|
101.9257 |
101.9257 |
101.9257 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Stable Return Fund Plan XXI |
Fixed Rate / Return |
Jun 24, 2025
|
102.4194 |
102.4194 |
102.4194 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Stable Return Fund Plan XXII |
Fixed Rate / Return |
Sep 09, 2025
|
100.0561 |
100.0561 |
100.0561 |
Sep 12, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Stable Return Plan XV |
Fixed Rate / Return |
Nov 18, 2024
|
0.0000 |
102.3018 |
102.3018 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Stock Fund - II (Formerly: Faysal Stock Fund) |
Equity |
Apr 19, 2004
|
75.9700 |
73.4400 |
73.4400 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Alfalah Asset Management Limited |
Alfalah Strategic Allocation Fund Plan - I |
Fund of Funds |
Nov 21, 2024
|
119.3060 |
115.3272 |
115.3272 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Atlas Asset Management Limited |
Atlas Pension Islamic Fund |
VPS-Shariah Compliant Debt |
Nov 06, 2007
|
450.1200 |
450.1200 |
450.1200 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Atlas Asset Management Limited |
Atlas Pension Islamic Fund |
VPS-Shariah Compliant Equity |
Nov 06, 2007
|
2562.5500 |
2562.5500 |
2562.5500 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
Atlas Asset Management Limited |
Atlas KPK Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Dec 13, 2023
|
129.2700 |
129.2700 |
129.2700 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Atlas Asset Management Limited |
Atlas Pension Islamic Fund |
VPS-Shariah Compliant Money Market |
Nov 06, 2007
|
476.1500 |
476.1500 |
476.1500 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Atlas Asset Management Limited |
Atlas Pension Fund |
VPS-Debt |
Jun 28, 2007
|
614.2600 |
614.2600 |
614.2600 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Atlas Asset Management Limited |
Atlas Pension Fund |
VPS-Equity |
Jun 28, 2007
|
2213.4700 |
2213.4700 |
2213.4700 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Atlas Asset Management Limited |
Atlas Pension Fund |
VPS-Money Market |
Jun 28, 2007
|
570.1600 |
570.1600 |
570.1600 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Income Fund |
Income |
Mar 22, 2004
|
541.2001 |
541.2001 |
541.2001 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Islamic Cash Fund |
Shariah Compliant Money Market |
Jul 03, 2024
|
512.3002 |
512.3002 |
512.3002 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Dedicated Equity Funds |
Atlas Asset Management Limited |
Atlas Islamic Dedicated Stock Fund |
Shariah Compliant Dedicated Equity |
Jan 10, 2019
|
1591.1104 |
1591.1104 |
1591.1104 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Islamic Fund of Funds (Atlas Aggressive Allocation Islamic Plan) |
Shariah Compliant Fund of Funds |
Jan 07, 2019
|
1381.8688 |
1381.8688 |
1381.8688 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Islamic Fund of Funds (Atlas Conservative Allocation Islamic Plan) |
Shariah Compliant Fund of Funds |
Jan 07, 2019
|
893.8168 |
893.8168 |
893.8168 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Islamic Fund of Funds (Atlas Moderate Allocation Islamic Plan) |
Shariah Compliant Fund of Funds |
Jan 07, 2019
|
1176.6506 |
1176.6506 |
1176.6506 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Islamic Income Fund |
Shariah Compliant Income |
Oct 14, 2008
|
525.3495 |
525.3495 |
525.3495 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Islamic Money Market Fund |
Shariah Compliant Money Market |
Jan 07, 2021
|
515.9645 |
515.9645 |
515.9645 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Islamic Stock Fund |
Shariah Compliant Equity |
Jan 15, 2007
|
1557.0115 |
1557.0115 |
1557.0115 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Liquid Fund |
Money Market |
Nov 23, 2021
|
512.5522 |
512.5522 |
512.5522 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Money Market Fund |
Money Market |
Jan 21, 2010
|
524.0748 |
524.0748 |
524.0748 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Sovereign Fund |
Income |
Dec 01, 2014
|
104.8830 |
104.8830 |
104.8830 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Atlas Asset Management Limited |
Atlas Stock Market Fund |
Equity |
Nov 23, 2004
|
1976.0126 |
1976.0126 |
1976.0126 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
AWT Investments Limited |
AWT Islamic Pension Fund |
VPS-Shariah Compliant Debt |
Apr 07, 2025
|
105.1430 |
105.1430 |
105.1430 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
AWT Investments Limited |
AWT Islamic Pension Fund |
VPS-Shariah Compliant Equity |
Apr 07, 2025
|
125.4776 |
125.4776 |
125.4776 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
AWT Investments Limited |
AWT Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Apr 07, 2025
|
104.4126 |
104.4126 |
104.4126 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AWT Investments Limited |
AWT Financial Sector Income Fund |
Income |
Dec 19, 2022
|
101.9618 |
101.9618 |
101.9618 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AWT Investments Limited |
AWT Income Fund |
Income |
Aug 08, 2012
|
114.2542 |
112.9552 |
112.9552 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AWT Investments Limited |
AWT Islamic Income Fund |
Shariah Compliant Income |
Mar 04, 2014
|
110.4130 |
107.9306 |
107.9306 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AWT Investments Limited |
AWT Islamic Money Market Fund (Formerly: AWT Money Market Fund) |
Shariah Compliant Money Market |
Feb 26, 2025
|
120.3806 |
120.3806 |
120.3806 |
Sep 17, 2025
|
0.5 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AWT Investments Limited |
AWT Islamic Stock Fund |
Shariah Compliant Equity |
Mar 04, 2014
|
188.0823 |
183.8537 |
183.8537 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
AWT Investments Limited |
AWT Stock Fund |
Equity |
Mar 13, 2015
|
181.1278 |
177.0555 |
177.0555 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Faysal Asset Management Limited |
Faysal Islamic Pension Fund |
VPS-Shariah Compliant Debt |
Oct 05, 2021
|
178.1732 |
172.2313 |
172.2313 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Faysal Asset Management Limited |
Faysal Islamic Pension Fund |
VPS-Shariah Compliant Equity |
Oct 05, 2021
|
349.0109 |
337.3716 |
337.3716 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
Faysal Asset Management Limited |
Faysal Islamic KPK Government Pension Fund |
VPS-Shariah Compliant Money Market |
Dec 20, 2023
|
125.3151 |
125.3151 |
125.3151 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Faysal Asset Management Limited |
Faysal Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Oct 05, 2021
|
182.0982 |
176.0253 |
176.0253 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Halal Amdani Fund |
Shariah Compliant Money Market |
Oct 10, 2019
|
106.4165 |
104.0239 |
104.0239 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Halal Amdani Fund II |
Shariah Compliant Income |
Jul 02, 2025
|
103.9927 |
101.6546 |
101.6546 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Asset Allocation Fund |
Shariah Compliant Asset Allocation |
Sep 09, 2015
|
95.3582 |
92.1781 |
92.1781 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Asset Allocation Fund II |
Shariah Compliant Asset Allocation |
Aug 12, 2024
|
120.8240 |
116.7946 |
116.7946 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Asset Allocation Fund III (Faysal Shariah Flex Plan I) |
Shariah Compliant Asset Allocation |
Sep 17, 2025
|
100.0000 |
100.0000 |
100.0000 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Cash Fund |
Shariah Compliant Money Market |
Aug 11, 2020
|
104.5588 |
102.2080 |
102.2080 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Dedicated Equity Funds |
Faysal Asset Management Limited |
Faysal Islamic Dedicated Equity Fund |
Shariah Compliant Dedicated Equity |
Jan 03, 2020
|
114.4222 |
114.4222 |
114.4222 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Financial Growth Fund (Faysal Islamic Financial Growth Plan I) |
Shariah Compliant Aggressive Fixed Income |
Jul 25, 2023
|
104.6728 |
102.3194 |
102.3194 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Financial Growth Plan II |
Shariah Compliant Aggressive Fixed Income |
Aug 06, 2024
|
105.7720 |
102.2446 |
102.2446 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Financial Planning Fund II (Faysal Priority Ascend Plan I) |
Shariah Compliant Fund of Funds |
Jul 18, 2025
|
110.3053 |
106.6267 |
106.6267 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Financial Planning Fund II (Faysal Priority Ascend Plan II) |
Shariah Compliant Fund of Funds |
Aug 11, 2025
|
104.4014 |
100.9197 |
100.9197 |
Sep 16, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Financial Planning Fund II (Faysal Priority Ascend Plan III) |
Shariah Compliant Fund of Funds |
May 29, 2025
|
105.8598 |
102.3294 |
102.3294 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Mustakil Munafa Fund (Faysal Islamic Mehdood Muddat Plan I) |
Shariah Compliant Fixed Rate / Return |
May 15, 2024
|
118.6509 |
118.6509 |
118.6509 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Mustakil Munafa Fund (Faysal Islamic Mehdood Muddat Plan IX) |
Shariah Compliant Fixed Rate / Return |
Jul 18, 2025
|
101.7507 |
101.7507 |
101.7507 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Mustakil Munafa Fund (Faysal Islamic Mehdood Muddat Plan VI) |
Shariah Compliant Fixed Rate / Return |
May 16, 2025
|
102.5193 |
102.5193 |
102.5193 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Mustakil Munafa Fund (Faysal Islamic Mehdood Muddat Plan VIII) |
Shariah Compliant Fixed Rate / Return |
Jun 13, 2025
|
100.5065 |
100.5065 |
100.5065 |
Sep 11, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Mustakil Munafa Fund (Faysal Islamic Mehdood Muddat Plan X) |
Shariah Compliant Fixed Rate / Return |
Aug 27, 2025
|
100.6224 |
100.6224 |
100.6224 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Mustakil Munafa Fund (Faysal Islamic Mehdood Muddat Plan XI) |
Shariah Compliant Fixed Rate / Return |
Sep 11, 2025
|
100.1781 |
100.1781 |
100.1781 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Savings Growth Fund |
Shariah Compliant Income |
Jun 16, 2010
|
110.0942 |
107.6189 |
107.6189 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Sovereign Fund (Faysal Islamic Sovereign Plan I) |
Shariah Compliant Income |
Feb 01, 2023
|
105.1020 |
102.7390 |
102.7390 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Sovereign Fund (Faysal Islamic Sovereign Plan II) |
Shariah Compliant Income |
Jan 08, 2024
|
104.4811 |
102.1321 |
102.1321 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Special Income Plan I |
Shariah Compliant Income |
Jun 20, 2022
|
10.5540 |
10.3168 |
10.3168 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Special Income Plan III |
Shariah Compliant Income |
Feb 01, 2024
|
116.3734 |
113.7570 |
113.7570 |
Jun 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Stock Fund |
Shariah Compliant Equity |
Jul 24, 2020
|
121.1995 |
117.1576 |
117.1576 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Islamic Stock Fund II |
Shariah Compliant Equity |
Mar 10, 2025
|
126.1619 |
121.9545 |
121.9545 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Khushal Mustaqbil Fund (Faysal Barak’ah Women Savers Plan) |
Shariah Compliant Fund of Funds |
Jan 10, 2025
|
105.5451 |
102.0252 |
102.0252 |
Sep 16, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Faysal Asset Management Limited |
Faysal Khushal Mustaqbil Fund (Faysal Nu’umah Women Savers Plan) |
Shariah Compliant Fund of Funds |
Jan 10, 2025
|
105.5263 |
102.0071 |
102.0071 |
Sep 16, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
First Capital Investments Limited |
First Capital Mutual Fund |
Equity |
May 24, 1995
|
16.7531 |
16.4246 |
16.4246 |
Sep 17, 2025
|
2 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
HBL Asset Management Limited |
HBL Islamic Pension Fund |
VPS-Shariah Compliant Debt |
Dec 15, 2011
|
319.6276 |
319.6276 |
319.6276 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
HBL Asset Management Limited |
HBL Islamic Pension Fund |
VPS-Shariah Compliant Equity |
Dec 15, 2011
|
1087.0151 |
1087.0151 |
1087.0151 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
HBL Asset Management Limited |
HBL Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Dec 15, 2011
|
302.0098 |
302.0098 |
302.0098 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
HBL Asset Management Limited |
HBL KPK Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Dec 14, 2023
|
127.2744 |
127.2744 |
127.2744 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
HBL Asset Management Limited |
HBL Pension Fund |
VPS-Debt |
Dec 15, 2011
|
413.5983 |
413.5983 |
413.5983 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
HBL Asset Management Limited |
HBL Pension Fund |
VPS-Equity |
Dec 15, 2011
|
971.6752 |
971.6752 |
971.6752 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
HBL Asset Management Limited |
HBL KPK Pension Fund |
VPS-Money Market |
Dec 14, 2023
|
129.1856 |
129.1856 |
129.1856 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
HBL Asset Management Limited |
HBL Pension Fund |
VPS-Money Market |
Dec 15, 2011
|
346.7811 |
346.7811 |
346.7811 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Cash Fund |
Money Market |
Dec 13, 2010
|
106.7538 |
105.5401 |
105.5401 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Energy Fund |
Equity |
Jan 20, 2006
|
31.3126 |
30.6086 |
30.6086 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Equity Fund |
Equity |
Sep 26, 2011
|
232.4282 |
227.2025 |
227.2025 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Financial Sector Income Fund Plan I |
Income |
Jan 18, 2022
|
106.9711 |
104.5661 |
104.5661 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Financial Sector Income Fund Plan II |
Income |
Feb 19, 2024
|
102.3000 |
100.0000 |
100.0000 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Government Securities Fund |
Income |
Jul 24, 2010
|
119.0422 |
116.3658 |
116.3658 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Growth Fund-Class A |
Equity |
Jul 02, 2018
|
0.0000 |
0.0000 |
46.1112 |
Sep 12, 2025
|
0 |
0 |
0 |
16.87000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Growth Fund-Class B |
Equity |
Jul 02, 2018
|
39.0177 |
38.1405 |
38.1405 |
Sep 12, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Income Fund |
Income |
Feb 19, 2007
|
117.4773 |
115.4852 |
115.4852 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Investment Fund-Class A |
Equity |
Jul 02, 2018
|
17.2620 |
16.8739 |
16.8739 |
Sep 17, 2025
|
0 |
0 |
0 |
0.42000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Investment Fund-Class B |
Equity |
Jul 02, 2018
|
18.1634 |
17.7550 |
17.7550 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Islamic Asset Allocation Fund |
Shariah Compliant Asset Allocation |
Jan 11, 2016
|
298.7950 |
292.0772 |
292.0772 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Islamic Equity Fund |
Shariah Compliant Equity |
May 29, 2014
|
195.4988 |
191.1034 |
191.1034 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Islamic Income Fund |
Shariah Compliant Income |
May 29, 2014
|
108.7935 |
106.3475 |
106.3475 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Islamic Money Market Fund |
Shariah Compliant Money Market |
May 09, 2011
|
104.8971 |
103.7045 |
103.7045 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Islamic Savings Plan I |
Shariah Compliant Money Market |
Mar 13, 2024
|
106.3324 |
102.7863 |
102.7863 |
Sep 17, 2025
|
2 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Islamic Stock Fund |
Shariah Compliant Equity |
May 09, 2011
|
248.7991 |
243.2054 |
243.2054 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Mehfooz Munafa Fund Plan IX |
Fixed Rate / Return |
Jul 14, 2025
|
100.0000 |
100.0000 |
100.0000 |
Jul 14, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Mehfooz Munafa Fund Plan X |
Fixed Rate / Return |
Jul 29, 2025
|
100.0000 |
100.0000 |
100.0000 |
Jul 29, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Money Market Fund |
Money Market |
Jul 15, 2010
|
106.9710 |
105.7548 |
105.7548 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Multi Asset Fund |
Balanced |
Nov 08, 2007
|
215.2075 |
210.3690 |
210.3690 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
HBL Asset Management Limited |
HBL Stock Fund |
Equity |
Aug 23, 2007
|
215.9120 |
211.0577 |
211.0577 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Exchange Traded Fund (ETF) |
HBL Asset Management Limited |
HBL Total Treasury Exchange Traded Fund |
Exchange Traded Fund |
Sep 12, 2022
|
105.4859 |
105.4859 |
105.4859 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
IGI Life Insurance Limited |
Mahaana IGI Islamic Retirement Fund |
VPS-Shariah Compliant Debt |
May 26, 2025
|
10.0000 |
10.0000 |
10.0000 |
May 26, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
IGI Life Insurance Limited |
Mahaana IGI Islamic Retirement Fund |
VPS-Shariah Compliant Equity |
May 26, 2025
|
10.0000 |
10.0000 |
10.0000 |
May 26, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
IGI Life Insurance Limited |
Mahaana IGI Islamic Retirement Fund |
VPS-Shariah Compliant Money Market |
May 26, 2025
|
10.0000 |
10.0000 |
10.0000 |
May 26, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
JS Investments Limited |
JS Islamic Pension Savings Fund |
VPS-Shariah Compliant Debt |
Mar 17, 2008
|
423.6928 |
423.6928 |
423.6928 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
JS Investments Limited |
JS Islamic Pension Savings Fund |
VPS-Shariah Compliant Equity |
Mar 17, 2008
|
1927.6260 |
1927.6260 |
1927.6260 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
JS Investments Limited |
JS Islamic Pension Savings Fund |
VPS-Shariah Compliant Money Market |
Mar 17, 2008
|
395.7873 |
395.7873 |
395.7873 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
JS Investments Limited |
JS KPK Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Dec 14, 2023
|
129.7600 |
129.7600 |
129.7596 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
JS Investments Limited |
JS Pension Savings Fund |
VPS-Debt |
Jun 25, 2007
|
573.5700 |
573.5700 |
573.5691 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
JS Investments Limited |
JS Pension Savings Fund |
VPS-Equity |
Jun 25, 2007
|
1681.0300 |
1681.0300 |
1681.0328 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
JS Investments Limited |
JS KPK Pension Fund |
VPS-Money Market |
Dec 14, 2023
|
132.2000 |
132.2000 |
132.1961 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
JS Investments Limited |
JS Pension Savings Fund |
VPS-Money Market |
Jun 25, 2007
|
462.9200 |
462.9200 |
462.9181 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
JS Investments Limited |
JS Cash Fund |
Money Market |
Mar 29, 2010
|
108.6900 |
107.4480 |
107.4480 |
Sep 18, 2025
|
1 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Fixed Term Munafa Fund (JS Fixed Term Munafa Plan I) |
Fixed Rate / Return |
Jan 08, 2024
|
112.3000 |
112.2994 |
112.2994 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Fixed Term Munafa Fund (JS Fixed Term Munafa Plan XI) |
Fixed Rate / Return |
Nov 01, 2024
|
110.6400 |
110.6395 |
110.6395 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
JS Investments Limited |
JS Fixed Term Munafa Fund (JS Fixed Term Munafa Plan XIII) |
Fixed Rate / Return |
Jan 15, 2025
|
106.3300 |
106.3290 |
106.3290 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Fixed Term Munafa Fund (JS Fixed Term Munafa Plan XIV) |
Fixed Rate / Return |
Feb 25, 2025
|
103.9900 |
103.9945 |
103.9945 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
JS Investments Limited |
JS Fixed Term Munafa Fund (JS Fixed Term Munafa Plan XV) |
Fixed Rate / Return |
Apr 18, 2025
|
103.3900 |
103.3875 |
103.3875 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Fixed Term Munafa Fund (JS Fixed Term Munafa Plan XVI) |
Fixed Rate / Return |
Apr 18, 2025
|
103.4800 |
103.4807 |
103.4807 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Fixed Term Munafa Fund (JS Fixed Term Munafa Plan XVIII) |
Fixed Rate / Return |
Jul 30, 2025
|
100.3300 |
100.3346 |
100.3346 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
JS Investments Limited |
JS Fixed Term Munafa Fund II (JS Fixed Term Munafa Plan I) |
Fixed Rate / Return |
May 06, 2025
|
103.4300 |
103.4300 |
103.4264 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Fixed Term Munafa Fund II (JS Fixed Term Munafa Plan II) |
Fixed Rate / Return |
May 06, 2025
|
104.2700 |
104.2700 |
104.2746 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Fund of Funds |
Fund of Funds |
Oct 31, 2005
|
141.1900 |
136.4800 |
136.4800 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
JS Investments Limited |
JS Government Securities Fund |
Income |
Jul 15, 2022
|
115.3900 |
114.0700 |
114.0678 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Growth Fund |
Equity |
Jun 06, 2006
|
527.9000 |
510.2900 |
510.2900 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Income Fund |
Income |
Aug 26, 2002
|
122.1500 |
119.4000 |
119.4019 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Islamic Fund |
Shariah Compliant Equity |
Dec 27, 2002
|
272.3100 |
263.2200 |
263.2200 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
JS Investments Limited |
JS Islamic Income Fund |
Shariah Compliant Income |
Jun 05, 2013
|
109.6800 |
108.4302 |
108.4302 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Islamic Money Market Fund (Formerly: JS Islamic Daily Dividend Fund) |
Shariah Compliant Money Market |
Sep 03, 2020
|
107.2300 |
106.0121 |
106.0121 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Islamic Sarmaya Mehfooz Fund (JS Islamic Sarmaya Mehfooz Plan 1) |
Capital Protected |
Jul 26, 2025
|
107.4900 |
103.8981 |
103.8981 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
JS Investments Limited |
JS Large Cap Fund |
Equity |
May 15, 2004
|
427.0700 |
412.8200 |
412.8200 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
JS Investments Limited |
JS Microfinance Sector Fund |
Income |
May 11, 2022
|
112.0200 |
110.7417 |
110.7417 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Exchange Traded Fund (ETF) |
JS Investments Limited |
JS Momentum Factor Exchange Traded Fund |
Exchange Traded Fund |
Jan 07, 2022
|
12.2678 |
12.2678 |
12.2678 |
Sep 18, 2025
|
0 |
0 |
0 |
12.28000 |
CDC |
Open-End Funds |
JS Investments Limited |
JS Money Market Fund |
Money Market |
Feb 28, 2023
|
116.0500 |
113.4364 |
113.4364 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
JS Investments Limited |
Unit Trust of Pakistan |
Balanced |
Oct 27, 1997
|
422.1500 |
408.0700 |
408.0700 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
JS Investments Limited |
JS Fixed Term Munafa Fund II (JS Fixed Term Munafa Plan III) |
Fixed Rate / Return |
Aug 15, 2025
|
100.8900 |
100.8900 |
100.8895 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
Lakson Investments Limited |
Lakson Asset Allocation Developed Markets Fund |
Asset Allocation |
Oct 10, 2011
|
193.9491 |
188.5197 |
188.5197 |
Sep 15, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lakson Investments Limited |
Lakson Equity Fund |
Equity |
Nov 13, 2009
|
319.7211 |
309.0585 |
309.0585 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lakson Investments Limited |
Lakson Income Fund |
Income |
Nov 13, 2009
|
106.4891 |
104.6781 |
104.6781 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lakson Investments Limited |
Lakson Islamic Money Market Fund |
Shariah Compliant Money Market |
Sep 29, 2022
|
104.4240 |
103.2367 |
103.2367 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lakson Investments Limited |
Lakson Islamic Tactical Fund |
Shariah Compliant Asset Allocation |
Oct 10, 2011
|
95.3401 |
92.6711 |
92.6711 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lakson Investments Limited |
Lakson Money Market Fund |
Money Market |
Nov 13, 2009
|
106.2015 |
104.9940 |
104.9940 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lakson Investments Limited |
Lakson Tactical Fund |
Asset Allocation |
Oct 10, 2011
|
104.2370 |
101.3190 |
101.3190 |
Sep 14, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lucky Investments Limited |
Lucky Islamic Fixed Term Fund Plan I |
Shariah Compliant Fixed Rate / Return |
Jun 12, 2025
|
100.2509 |
100.2509 |
100.2509 |
Aug 24, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lucky Investments Limited |
Lucky Islamic Fixed Term Fund Plan II |
Shariah Compliant Fixed Rate / Return |
Aug 15, 2025
|
100.8859 |
100.8859 |
100.8859 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lucky Investments Limited |
Lucky Islamic Fixed Term Fund Plan III |
Shariah Compliant Fixed Rate / Return |
Aug 12, 2025
|
100.9601 |
100.9601 |
100.9601 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lucky Investments Limited |
Lucky Islamic Income Fund |
Shariah Compliant Income |
Apr 25, 2025
|
105.8767 |
102.3457 |
102.3457 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lucky Investments Limited |
Lucky Islamic Money Market Fund |
Shariah Compliant Money Market |
Apr 09, 2025
|
105.8618 |
102.3314 |
102.3314 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Lucky Investments Limited |
Lucky Islamic Stock Fund |
Shariah Compliant Equity |
Apr 25, 2025
|
132.5500 |
128.1300 |
128.1300 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Mahaana Wealth Limited |
Mahaana Islamic Cash Fund |
Shariah Compliant Money Market |
Mar 29, 2023
|
109.0430 |
109.0430 |
109.0430 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Exchange Traded Fund (ETF) |
Mahaana Wealth Limited |
Mahaana Islamic Index Exchange Traded Fund |
Shariah Compliant Exchange Traded Fund |
Mar 11, 2024
|
16.4400 |
16.4400 |
16.4400 |
Sep 16, 2025
|
0 |
0 |
0 |
16.43000 |
CDC |
Voluntary Pension Scheme (VPS) |
MCB Investment Management Limited |
Alhamra Islamic Pension Fund |
VPS-Shariah Compliant Debt |
Nov 02, 2007
|
442.8600 |
442.8600 |
442.8600 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
MCB Investment Management Limited |
Alhamra Islamic Pension Fund |
VPS-Shariah Compliant Equity |
Nov 02, 2007
|
2004.6900 |
2004.6900 |
2004.6900 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
MCB Investment Management Limited |
Alhamra Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Nov 02, 2007
|
402.6400 |
402.6400 |
402.6400 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
MCB Investment Management Limited |
MCB Alhamra KPK Govt Employees Pension Fund |
VPS-Shariah Compliant Money Market |
Dec 13, 2023
|
129.3977 |
129.3977 |
129.3977 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
MCB Investment Management Limited |
Pakistan Pension Fund |
VPS-Debt |
Jun 27, 2007
|
609.7000 |
609.7000 |
609.7000 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
MCB Investment Management Limited |
Pakistan Pension Fund |
VPS-Equity |
Jun 27, 2007
|
2122.3700 |
2122.3700 |
2122.3700 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
MCB Investment Management Limited |
MCB KPK Govt Employees Pension Fund |
VPS-Money Market |
Dec 13, 2023
|
130.8378 |
130.8378 |
130.8378 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
MCB Investment Management Limited |
Pakistan Pension Fund |
VPS-Money Market |
Jun 27, 2007
|
520.1600 |
520.1600 |
520.1600 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Alhamra Cash Management Optimizer |
Shariah Compliant Money Market |
May 23, 2023
|
103.6739 |
102.4952 |
102.4952 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
MCB Investment Management Limited |
Alhamra Daily Dividend Fund |
Shariah Compliant Income |
Apr 10, 2018
|
101.1500 |
100.0000 |
100.0000 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Alhamra Government Securities Plan I |
Shariah Compliant Income |
Jun 24, 2024
|
104.8243 |
102.4675 |
102.4675 |
Sep 17, 2025
|
1 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Alhamra Islamic Asset Allocation Fund |
Shariah Compliant Asset Allocation |
Apr 22, 2006
|
213.7578 |
206.6291 |
206.6291 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Alhamra Islamic Income Fund |
Shariah Compliant Income |
Jun 19, 2011
|
108.3318 |
106.4948 |
106.4948 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Alhamra Islamic Money Market Fund |
Shariah Compliant Money Market |
Aug 20, 2020
|
100.6544 |
99.5100 |
99.5100 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Alhamra Islamic Stock Fund |
Shariah Compliant Equity |
Aug 25, 2004
|
29.8500 |
28.8500 |
28.8500 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Alhamra Opportunity Fund (Dividend Strategy Plan) |
Shariah Compliant Equity |
Feb 27, 2024
|
193.8358 |
187.3715 |
187.3715 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Alhamra Smart Portfolio |
Shariah Compliant Fund of Funds |
Jun 11, 2021
|
168.2650 |
162.6535 |
162.6535 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
MCB Investment Management Limited |
Alhamra Wada Fund (Alhamra Wada Plan XIII) |
Shariah Compliant Fixed Rate / Return |
Sep 10, 2025
|
100.2111 |
100.2111 |
100.2111 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Alhamra Wada Fund (Alhamra Wada Plan XVII) |
Shariah Compliant Fixed Rate / Return |
Mar 26, 2025
|
102.1974 |
102.1974 |
102.1974 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Alhamra Wada Fund (Alhamra Wada Plan XX) |
Shariah Compliant Fixed Rate / Return |
Jun 24, 2025
|
102.1855 |
102.1855 |
102.1855 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB Cash Management Optimizer |
Money Market |
Oct 01, 2009
|
104.4891 |
104.4891 |
104.4891 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB DCF Fixed Return II (Plan III) |
Fixed Rate / Return |
Oct 22, 2024
|
105.2133 |
105.2133 |
105.2133 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB DCF Fixed Return III (Plan 7) |
Fixed Rate / Return |
Jun 19, 2025
|
102.2680 |
102.2680 |
102.2680 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB DCF Fixed Return III (Plan 8) |
Fixed Rate / Return |
Jun 19, 2025
|
102.2156 |
102.2156 |
102.2156 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB DCF Fixed Return III (Plan 9) |
Fixed Rate / Return |
Jun 19, 2025
|
102.1003 |
102.1003 |
102.1003 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB DCF Fixed Return III (Plan IV) |
Fixed Rate / Return |
Oct 10, 2024
|
102.7305 |
102.7305 |
102.7305 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB DCF Fixed Return III (Plan VI) |
Fixed Rate / Return |
May 29, 2025
|
102.5997 |
102.5997 |
102.5997 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB DCF Fixed Return III (Plan X) |
Fixed Rate / Return |
Jun 19, 2025
|
102.2070 |
102.2070 |
102.2070 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB DCF Fixed Return Plan VIII |
Fixed Rate / Return |
Mar 13, 2025
|
102.7627 |
102.7627 |
102.7627 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB DCF Fixed Return Plan X |
Fixed Rate / Return |
May 02, 2025
|
103.0942 |
103.0942 |
103.0942 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB DCF Income Fund |
Income |
Jan 03, 2007
|
113.7796 |
111.8502 |
111.8502 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB Government Securities Plan I |
Income |
Nov 05, 2024
|
105.0422 |
102.6805 |
102.6805 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB Investment Savings Plan I |
Aggressive Fixed Income |
Aug 05, 2024
|
104.5926 |
103.4035 |
103.4035 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB Pakistan Asset Allocation Fund |
Asset Allocation |
Mar 17, 2008
|
230.3683 |
222.6856 |
222.6856 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB Pakistan Fixed Return Plan 23 |
Fixed Rate / Return |
Dec 27, 2024
|
102.1202 |
102.1202 |
102.1202 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB Pakistan Opportunity Fund (MCB Pakistan Dividend Yield Plan) |
Asset Allocation |
Jun 29, 2022
|
323.5707 |
312.7798 |
312.7798 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB Pakistan Sovereign Fund |
Income |
Mar 01, 2003
|
57.1400 |
56.1700 |
56.1700 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
MCB Pakistan Stock Market Fund |
Equity |
Mar 11, 2002
|
336.2024 |
324.9902 |
324.9902 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Pakistan Capital Market Fund |
Balanced |
Jan 24, 2004
|
29.2400 |
28.5800 |
28.5800 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Pakistan Cash Management Fund |
Money Market |
Mar 19, 2008
|
51.0482 |
50.4678 |
50.4678 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Pakistan Income Enhancement Fund |
Aggressive Fixed Income |
Aug 28, 2008
|
57.4776 |
56.1853 |
56.1853 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
MCB Investment Management Limited |
Pakistan Income Fund |
Income |
Mar 11, 2002
|
57.6500 |
56.3539 |
56.3539 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
National Investment Trust Limited |
NIT Islamic Pension Fund |
VPS-Shariah Compliant Debt |
Jun 19, 2015
|
24.2864 |
24.2864 |
24.2864 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
National Investment Trust Limited |
NIT Islamic Pension Fund |
VPS-Shariah Compliant Equity |
Jun 19, 2015
|
30.2309 |
30.2309 |
30.2309 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
National Investment Trust Limited |
NIT Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Jun 19, 2015
|
24.0668 |
24.0668 |
24.0668 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
National Investment Trust Limited |
NIT KP Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Dec 14, 2023
|
125.6474 |
125.6474 |
125.6474 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
National Investment Trust Limited |
NIT Pension Fund |
VPS-Debt |
Jun 19, 2015
|
27.8619 |
27.8619 |
27.8619 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
National Investment Trust Limited |
NIT Pension Fund |
VPS-Equity |
Jun 19, 2015
|
30.6648 |
30.6648 |
30.6648 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
National Investment Trust Limited |
NIT KP Pension Fund |
VPS-Money Market |
Dec 14, 2023
|
129.1876 |
129.1876 |
129.1876 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
National Investment Trust Limited |
NIT Pension Fund |
VPS-Money Market |
Jun 19, 2015
|
27.2389 |
27.2389 |
27.2389 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
National Investment Trust Limited |
National Investment Unit Trust |
Equity |
Nov 12, 1962
|
162.5000 |
157.7400 |
157.7400 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
National Investment Trust Limited |
NIT - Government Bond Fund |
Income |
Nov 18, 2009
|
10.3869 |
10.2841 |
10.2841 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
National Investment Trust Limited |
NIT - Income Fund |
Income |
Feb 19, 2010
|
10.6194 |
10.5143 |
10.5143 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
National Investment Trust Limited |
NIT Asset Allocation Fund |
Asset Allocation |
Apr 09, 2020
|
19.5021 |
19.0264 |
19.0264 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
National Investment Trust Limited |
NIT Islamic Equity Fund |
Shariah Compliant Equity |
May 18, 2015
|
18.7900 |
18.7900 |
18.7900 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
National Investment Trust Limited |
NIT Islamic Income Fund |
Shariah Compliant Income |
Jul 04, 2016
|
9.8829 |
9.8829 |
9.8829 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
National Investment Trust Limited |
NIT Islamic Money Market Fund |
Shariah Compliant Money Market |
Sep 21, 2021
|
104.4487 |
103.4422 |
103.4422 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
National Investment Trust Limited |
NIT Money Market Fund |
Money Market |
Jan 22, 2016
|
9.9765 |
9.9765 |
9.9765 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Exchange Traded Fund (ETF) |
National Investment Trust Limited |
NIT Pakistan Gateway Exchange Traded Fund |
Exchange Traded Fund |
Mar 21, 2020
|
32.7548 |
32.7548 |
32.7548 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
National Investment Trust Limited |
NIT Pension Fund |
VPS-Commodities / Gold |
Jun 19, 2015
|
43.8170 |
43.8170 |
43.8170 |
Sep 16, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
National Investment Trust Limited |
NIT Social Impact Fund |
Income |
May 16, 2022
|
10.4969 |
10.4969 |
10.4969 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
NBP Fund Management Limited |
NAFA Islamic Pension Fund |
VPS-Shariah Compliant Debt |
Jul 02, 2013
|
278.9034 |
278.9034 |
278.9034 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
NBP Fund Management Limited |
NAFA Islamic Pension Fund |
VPS-Shariah Compliant Equity |
Jul 02, 2013
|
1136.9130 |
1136.9130 |
1136.9130 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
NBP Fund Management Limited |
NAFA Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Jul 02, 2013
|
284.0231 |
284.0231 |
284.0231 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
NBP Fund Management Limited |
NBP GoKP Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Dec 13, 2023
|
129.8357 |
129.8357 |
129.8357 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
NBP Fund Management Limited |
NAFA Pension Fund |
VPS-Debt |
Jul 02, 2013
|
372.5974 |
372.5974 |
372.5974 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
NBP Fund Management Limited |
NAFA Pension Fund |
VPS-Equity |
Jul 02, 2013
|
1288.0706 |
1288.0706 |
1288.0706 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
NBP Fund Management Limited |
NAFA Pension Fund |
VPS-Money Market |
Jul 02, 2013
|
318.5037 |
318.5037 |
318.5037 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
NBP Fund Management Limited |
NBP GoKP Pension Fund |
VPS-Money Market |
Dec 13, 2023
|
131.5003 |
131.5003 |
131.5003 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Balanced Fund |
Balanced |
Jan 22, 2007
|
40.6068 |
39.2526 |
39.2526 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Cash Plan I |
Money Market |
Jan 10, 2023
|
10.6489 |
10.2938 |
10.2938 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Cash Plan II |
Money Market |
Jan 10, 2023
|
10.3450 |
10.0000 |
10.0000 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Financial Sector Fund |
Equity |
Feb 14, 2018
|
22.2741 |
21.5313 |
21.5313 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Financial Sector Income Fund |
Income |
Oct 28, 2011
|
11.0350 |
10.9095 |
10.9095 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Fixed Term Munafa Plan IV (A) |
Fixed Rate / Return |
Dec 17, 2024
|
10.1903 |
10.1903 |
10.1903 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Fixed Term Munafa Plan XIA (NBP Mustahkam Fund II) |
Fixed Rate / Return |
Jun 11, 2025
|
10.1207 |
10.1207 |
10.1207 |
Sep 04, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Fixed Term Munafa Plan XIX |
Fixed Rate / Return |
Oct 17, 2024
|
10.1924 |
10.1924 |
10.1924 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Fixed Term Munafa Plan XVA (NBP Mustahkam Fund II) |
Fixed Rate / Return |
Jun 25, 2025
|
10.1781 |
10.1781 |
10.1781 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Government Securities Liquid Fund |
Money Market |
May 16, 2009
|
10.6467 |
10.5257 |
10.5257 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Government Securities Plan IV |
Income |
May 10, 2023
|
10.6299 |
10.2754 |
10.2754 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
NBP Fund Management Limited |
NBP Government Securities Plan VIII |
Income |
Aug 19, 2025
|
10.4161 |
10.0687 |
10.0687 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Government Securities Savings Fund |
Income |
Jul 03, 2014
|
10.8709 |
10.7473 |
10.7473 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Income Opportunity Fund |
Income |
Apr 22, 2006
|
11.5809 |
11.4492 |
11.4492 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Income Plan I |
Income |
Jan 10, 2023
|
10.5177 |
10.1669 |
10.1669 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Islamic Daily Dividend Fund |
Shariah Compliant Money Market |
Nov 01, 2019
|
10.1150 |
10.0000 |
10.0000 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Islamic Energy Fund |
Shariah Compliant Equity |
Apr 21, 2016
|
21.0593 |
20.3570 |
20.3570 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Islamic Government Securities Plan III |
Shariah Compliant Income |
Jan 19, 2024
|
10.5960 |
10.2426 |
10.2426 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Islamic Income Fund |
Shariah Compliant Income |
Aug 14, 2020
|
10.4376 |
10.3189 |
10.3189 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Islamic Mahana Amdani Fund |
Shariah Compliant Income |
Oct 08, 2018
|
10.4408 |
10.3221 |
10.3221 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Islamic Money Market Fund |
Shariah Compliant Money Market |
Feb 28, 2018
|
10.5024 |
10.3830 |
10.3830 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Islamic Sarmaya Izafa Fund |
Shariah Compliant Asset Allocation |
Oct 29, 2007
|
34.1189 |
32.9811 |
32.9811 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Islamic Savings Fund |
Shariah Compliant Income |
Oct 29, 2007
|
10.1294 |
9.7916 |
9.7916 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Islamic Stock Fund |
Shariah Compliant Equity |
Jan 12, 2015
|
23.9745 |
23.1750 |
23.1750 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Mahana Amdani Fund |
Income |
Nov 21, 2009
|
10.6434 |
10.5224 |
10.5224 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Money Market Fund |
Money Market |
Feb 24, 2012
|
10.3636 |
10.2458 |
10.2458 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Exchange Traded Fund (ETF) |
NBP Fund Management Limited |
NBP Pakistan Growth Exchange Traded Fund |
Exchange Traded Fund |
Oct 06, 2020
|
27.5101 |
27.5101 |
27.5101 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Riba Free Savings Fund |
Shariah Compliant Income |
Aug 20, 2010
|
10.6839 |
10.5624 |
10.5624 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Sarmaya Izafa Fund |
Asset Allocation |
Aug 20, 2010
|
38.0469 |
36.7781 |
36.7781 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Savings Fund |
Income |
Mar 29, 2008
|
10.7541 |
10.3955 |
10.3955 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
NBP Fund Management Limited |
NBP Stock Fund |
Equity |
Jan 22, 2007
|
41.8011 |
40.4071 |
40.4071 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Pak Oman Asset Management Company Limited |
Askari Cash Fund |
Money Market |
Sep 30, 2009
|
105.8048 |
105.8048 |
105.8048 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Pak Oman Asset Management Company Limited |
Askari High Yield Scheme |
Aggressive Fixed Income |
Mar 16, 2006
|
108.5274 |
106.1289 |
106.1289 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Pak Oman Asset Management Company Limited |
Askari Sovereign Yield Enhancer |
Income |
May 07, 2012
|
107.8688 |
106.3664 |
106.3664 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Pak Oman Asset Management Company Limited |
Pak Oman Advantage Asset Allocation Fund |
Asset Allocation |
Oct 30, 2008
|
48.1936 |
46.8696 |
46.8696 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
Pak Oman Asset Management Company Limited |
Pak Oman Advantage Islamic Income Fund |
Shariah Compliant Income |
Oct 28, 2008
|
54.8954 |
54.2821 |
54.2821 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
Pak Oman Asset Management Company Limited |
Pak Oman Daily Dividend Fund |
Shariah Compliant Money Market |
Dec 07, 2021
|
10.0565 |
10.0000 |
10.0000 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
Pak Oman Asset Management Company Limited |
Pak Oman Income Fund |
Income |
Jul 28, 2011
|
11.0962 |
11.0962 |
11.0962 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
Pak Oman Asset Management Company Limited |
Pak Oman Islamic Asset Allocation Fund |
Shariah Compliant Asset Allocation |
Oct 28, 2008
|
46.7063 |
45.4231 |
45.4231 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
Pak Oman Asset Management Company Limited |
Pak Oman Micro Finance Fund |
Income |
May 14, 2024
|
102.6801 |
102.6801 |
102.6801 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
Pak-Qatar Asset Management Company Limited |
Pak Qatar Asan Munafa Plan |
Shariah Compliant Money Market |
Oct 03, 2022
|
118.1678 |
114.2270 |
114.2270 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Pak-Qatar Asset Management Company Limited |
Pak Qatar Asset Allocation Plan I (PQAAP IA) |
Shariah Compliant Asset Allocation |
Aug 18, 2023
|
126.0823 |
121.9482 |
121.9482 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
Pak-Qatar Asset Management Company Limited |
Pak Qatar Asset Allocation Plan II (PQAAP IIA) |
Shariah Compliant Asset Allocation |
Aug 18, 2023
|
123.6538 |
119.5993 |
119.5993 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
|
Open-End Funds |
Pak-Qatar Asset Management Company Limited |
Pak Qatar Cash Plan |
Shariah Compliant Money Market |
Oct 03, 2022
|
119.4837 |
115.4989 |
115.4989 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Pak-Qatar Asset Management Company Limited |
Pak Qatar Daily Dividend Plan |
Shariah Compliant Money Market |
Oct 03, 2022
|
103.4500 |
100.0000 |
100.0000 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Pak-Qatar Asset Management Company Limited |
Pak Qatar Income Plan |
Shariah Compliant Income |
Oct 03, 2022
|
123.5332 |
119.4134 |
119.4134 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Pak-Qatar Asset Management Company Limited |
Pak Qatar Islamic Stock Fund |
Shariah Compliant Equity |
Sep 22, 2022
|
266.9561 |
258.0533 |
258.0533 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Pak-Qatar Asset Management Company Limited |
Pak Qatar Khalis Bachat Plan |
Shariah Compliant Income |
Oct 03, 2022
|
120.8437 |
116.8136 |
116.8136 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Pak-Qatar Asset Management Company Limited |
Pak Qatar Monthly Income Plan |
Shariah Compliant Income |
Oct 03, 2022
|
104.1238 |
100.6514 |
100.6514 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
Pak-Qatar Asset Management Company Limited |
Pak-Qatar Asset Allocation Plan III (PQAAP IIIA) |
Shariah Compliant Asset Allocation |
Sep 24, 2024
|
173.3424 |
167.6587 |
167.6587 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Pak-Qatar Family Takaful Limited |
Pak Qatar Islamic Pension Fund |
VPS-Shariah Compliant Debt |
Dec 01, 2022
|
163.2505 |
157.8062 |
157.8062 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Pak-Qatar Family Takaful Limited |
Pak Qatar Islamic Pension Fund |
VPS-Shariah Compliant Equity |
Dec 01, 2022
|
303.1772 |
293.0664 |
293.0664 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
Pak-Qatar Family Takaful Limited |
Pak Qatar Islamic Pension Fund |
VPS-Shariah Compliant Money Market |
Dec 01, 2022
|
159.5154 |
154.1956 |
154.1956 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
UBL Fund Managers Limited |
Al Ameen Islamic Retirement Savings Fund |
VPS-Shariah Compliant Debt |
May 19, 2010
|
353.4383 |
353.4383 |
353.4383 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
UBL Fund Managers Limited |
Al Ameen Islamic Retirement Savings Fund |
VPS-Shariah Compliant Equity |
May 19, 2010
|
2763.1719 |
2763.1719 |
2763.1719 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
UBL Fund Managers Limited |
Al Ameen Islamic Retirement Savings Fund |
VPS-Shariah Compliant Money Market |
May 19, 2010
|
343.0086 |
343.0086 |
343.0086 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
UBL Fund Managers Limited |
Al Ameen Voluntary Pension Fund KPK |
VPS-Shariah Compliant Money Market |
Dec 14, 2023
|
124.7792 |
124.7792 |
124.7792 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
UBL Fund Managers Limited |
UBL Retirement Saving Fund |
VPS-Debt |
May 19, 2010
|
522.3695 |
522.3695 |
522.3695 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
UBL Fund Managers Limited |
UBL Retirement Saving Fund |
VPS-Equity |
May 19, 2010
|
3208.0782 |
3208.0782 |
3208.0782 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
UBL Fund Managers Limited |
UBL Retirement Saving Fund |
VPS-Money Market |
May 19, 2010
|
401.3668 |
401.3668 |
401.3668 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Employer Pension Funds |
UBL Fund Managers Limited |
UBL Voluntary Pension Fund KPK |
VPS-Money Market |
Dec 14, 2023
|
131.6123 |
131.6123 |
131.6123 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
Al Ameen Islamic Aggressive Income Fund |
Shariah Compliant Aggressive Fixed Income |
Oct 20, 2007
|
104.6428 |
103.4531 |
103.4531 |
Sep 17, 2025
|
1 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
Al Ameen Islamic Aggressive Income Plan I |
Shariah Compliant Aggressive Fixed Income |
Apr 16, 2020
|
114.9748 |
114.6509 |
114.6509 |
Sep 17, 2025
|
0.25 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
Al Ameen Islamic Asset Allocation Fund |
Shariah Compliant Asset Allocation |
Dec 11, 2013
|
219.8538 |
212.5218 |
212.5218 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
Al Ameen Islamic Cash Fund |
Shariah Compliant Money Market |
Sep 19, 2012
|
103.3359 |
103.3359 |
103.3359 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
Al Ameen Islamic Cash Plan I |
Shariah Compliant Money Market |
May 29, 2020
|
102.6109 |
102.6109 |
102.6109 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
Al Ameen Islamic Energy Fund |
Shariah Compliant Equity |
Dec 13, 2019
|
320.8433 |
310.1434 |
310.1434 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
Al Ameen Islamic Fixed Return Plan I (P) |
Fixed Rate / Return |
Jan 09, 2025
|
100.0153 |
100.0153 |
100.0153 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
Al Ameen Islamic Fixed Term Plan I (M) |
Shariah Compliant Fixed Rate / Return |
Aug 16, 2024
|
100.0000 |
100.0000 |
100.0000 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
Al Ameen Islamic Income Fund |
Shariah Compliant Income |
May 29, 2023
|
103.8290 |
102.0683 |
102.0683 |
Sep 17, 2025
|
1.5 |
0 |
0 |
0.00000 |
|
Open-End Funds |
UBL Fund Managers Limited |
Al Ameen Islamic Sovereign Fund |
Shariah Compliant Income |
Nov 07, 2010
|
105.5185 |
104.3188 |
104.3188 |
Sep 17, 2025
|
1 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
Al Ameen Shariah Stock Fund |
Shariah Compliant Equity |
Dec 24, 2006
|
492.5700 |
478.8000 |
478.8000 |
Sep 17, 2025
|
2.5 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Asset Allocation Fund |
Asset Allocation |
Aug 20, 2013
|
330.6197 |
319.5937 |
319.5937 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Cash Fund |
Money Market |
Sep 23, 2019
|
102.4866 |
102.4866 |
102.4866 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Financial Sector Fund |
Equity |
Apr 06, 2018
|
315.1684 |
304.6577 |
304.6577 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan I (U) |
Fixed Rate / Return |
Dec 24, 2024
|
102.9181 |
102.9181 |
102.9181 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan II (AA) |
Fixed Rate / Return |
Jul 21, 2025
|
119.8875 |
119.8875 |
119.8875 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
DCC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan II (AB) |
Fixed Rate / Return |
Jun 25, 2025
|
102.1949 |
102.1949 |
102.1949 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan II (M) |
Fixed Rate / Return |
Jun 03, 2024
|
103.3044 |
103.3044 |
103.3044 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan II (U) |
Fixed Rate / Return |
Nov 15, 2024
|
102.3494 |
102.3494 |
102.3494 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan II (Y) |
Fixed Rate / Return |
Mar 20, 2025
|
100.4113 |
100.4113 |
100.4113 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan III (S) |
Fixed Rate / Return |
Oct 25, 2024
|
102.4129 |
102.4129 |
102.4129 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan III (X) |
Fixed Rate / Return |
Feb 17, 2025
|
102.4789 |
102.4789 |
102.4789 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan III (Y) |
Fixed Rate / Return |
Jun 26, 2025
|
102.2789 |
102.2789 |
102.2789 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan III (Z) |
Fixed Rate / Return |
Jul 21, 2025
|
101.3078 |
101.3078 |
101.3078 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan IV (G) |
Fixed Rate / Return |
Aug 14, 2024
|
102.1636 |
102.1636 |
102.1636 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan IV (K) |
Fixed Rate / Return |
Feb 19, 2025
|
102.1427 |
102.1427 |
102.1427 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan IV (M) |
Fixed Rate / Return |
Mar 06, 2025
|
102.2637 |
102.2637 |
102.2637 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Fixed Return Plan IV (O) |
Fixed Rate / Return |
Mar 11, 2025
|
102.2915 |
102.2915 |
102.2915 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Government Securities Fund |
Income |
Jul 27, 2011
|
110.1846 |
108.9319 |
108.9319 |
Sep 17, 2025
|
1 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Growth & Income Fund |
Aggressive Fixed Income |
Mar 02, 2006
|
88.9260 |
87.4180 |
87.4180 |
Sep 17, 2025
|
1.5 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Income Opportunity Fund |
Income |
Mar 29, 2013
|
115.5719 |
113.6121 |
113.6121 |
Sep 17, 2025
|
1.5 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Liquidity Fund |
Money Market |
Sep 01, 2025
|
100.2830 |
100.2830 |
100.2830 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Liquidity Plus Fund |
Money Market |
Jun 21, 2009
|
103.6799 |
103.6799 |
103.6799 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Money Market Fund |
Money Market |
Oct 13, 2010
|
104.5121 |
103.3239 |
103.3239 |
Sep 18, 2025
|
1 |
0 |
0 |
0.00000 |
CDC |
Exchange Traded Fund (ETF) |
UBL Fund Managers Limited |
UBL Pakistan Enterprise Exchange Traded Fund |
Exchange Traded Fund |
Mar 24, 2020
|
35.5077 |
35.5077 |
35.5077 |
Sep 18, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Voluntary Pension Scheme (VPS) |
UBL Fund Managers Limited |
UBL Retirement Saving Fund |
VPS-Commodities / Gold |
Apr 21, 2014
|
368.5500 |
368.5500 |
368.5500 |
Sep 11, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Special Savings Plan V |
Capital Protected - Income |
Sep 11, 2019
|
105.2701 |
101.7212 |
104.0733 |
Sep 17, 2025
|
0 |
0 |
0 |
0.00000 |
CDC |
Open-End Funds |
UBL Fund Managers Limited |
UBL Special Savings Plan X |
Capital Protected - Income |
Mar 29, 2023
|
105.8290 |
104.2650 |
104.2650 |
Sep 17, 2025
|
1.5 |
0 |
0 |
0.00000 |
|
Open-End Funds |
UBL Fund Managers Limited |
UBL Stock Advantage Fund |
Equity |
Aug 04, 2006
|
261.3800 |
254.0800 |
254.0800 |
Sep 17, 2025
|
3 |
0 |
0 |
0.00000 |
CDC |