1 Month | 3 Month | 6 Month | 1 Year | YTD | |
---|---|---|---|---|---|
Return | 9.63% | 14.89% | 20.74% | 20.66% | 20.73% |
Pakistan Income Fund (PIF) Fund Live Data. PIF current nav price is 61.1236 PKR. Assets Under Management are of 2.76 B. Today PIF current change is 7.96%
The objective of the Fund is to deliver returns primarily from debt and fixed income investments without taking excessive risk.
Medium
Yousuf Adil - Chartered Accountants | Auditor |
---|---|
Mr Syed Mohammad Usama Iqbal | Fund Manager |
Checkout Pakistan Income Fund NAV History, Asset Allocation Details, Assets Under Management, Total Expense Ratio, Management Fee, Sales & Marketing Expense %, Front Load %, Backload, and Cognitive Load %.
PIF 2025-01-14 |
61.1236 2,758,500,000 |
7.96% |
---|---|---|
Assets Under Mangement (AUM): | 2,759 M | |
Total Expense Ratio (TER): | 2.31 | |
Management Fee (MF): | 1.95 | |
Sales & Marketing Expenses (%) | 0.3 | |
Front Load (%) | 0 | |
Back Load (%) | 0 | |
Cognitive Load (%) | 0 |
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