JS Fund of Funds's current nav price is PKR 138.85. Assets Under Management (AUM) is of PKR 2,330,460,000. The fund's One day return is 0.02%.
1d
0.02%
2w
0.44%
1m
0.88%
3m
2.75%
1y
20.36%
Ytd
4.08%
Nav / 1-Day Return
0
AUM
2,330,460,000
Prev Close
138.85
TER (%)
0.34
MF (%)
1.00
Sale & Marketing Exp (%)
1.00
Front Load (%)
0.00
Back load (%)
0.00
Cognitive Load (%)
0.00
Category
Fund of Funds
fund Manager
category
Fund of Funds
launch Date
2005-10-31