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Markets Print 2019-06-25

Dividend/Bonus Announcements

Dividend/Bonus announcements by the companies listed on the Pakistan Stock Exchange.

Published June 25, 2019

Dividend/Bonus announcements by the companies listed on the Pakistan Stock Exchange.



============================================================================================================
YEAR Profit/(Loss) EPS ANNUAL CLOSURE OF
ENDED/ DIVIDEND/ After (Rs) GENERAL SHARE
HALF YEARLY/ BONUS/ Taxation MEETING TRANSFER
COMPANY QUARTERLY RIGHT (Rs. in BOOKS
ACCOUNTS million)
============================================================================================================
Hashimi Can 30.09.2018 - (0.563) (0.35) - -
Co. Ltd. 1st Quarter
Hashimi Can 31.12.2018 - (0.854) (0.52) - -
Co. Ltd. Half year
Hashimi Can 31.03.2019 - (1.091) (0.67) - -
Co. Ltd. Nine months
UBL Growth And 23.06.2019 6.58% (i) - - - -
Income Fund Period ended
UBL Money 23.06.2019 8.34% (i) - - - -
Market Fund Period ended
UBL Government 23.06.2019 7.77% (i) - - - -
Securities Fund Period ended
UBL Income 23.06.2019 9.09% (i) - - - -
Opportunity Fund Period ended
Al-Ameen Islamic 23.06.2019 6.68% (i) - - - -
Sovereign Fund Period ended
Al-Ameen Islamic 23.06.2019 6.32% (i) - - - -
Aggressive Income Fund Period ended
UBL Capital 23.06.2019 3.14% (i) - - - -
Protected Fund-III Period ended
UBL Special Savings 23.06.2019 4.98% (i) - - - -
Plan I Period ended
UBL Special Savings 23.06.2019 3.99% (i) - - - -
Plan II Period ended
BMA Empress 30.06.2019 Rs 0.8658 - - - -
Cash Fund Year end Per unit
JS Cash Fund 21.06.2019 Rs 0.71 - - - -
Period ended Per unit
JS Islamic 21.06.2019 Rs 0.70 - - - -
Income Fund Period ended Per unit
JS Income Fund 21.06.2019 Rs 8.00 - - - -
Period ended Per unit
NAFA Income 30.06.2019 5.59% (i) - - - -
Opportunity Fund Year end
NAFA Islamic 30.06.2019 7.93% (i) - - - -
Income Fund Year end
NAFA Income Fund 30.06.2019 8.91% (i) - - - -
Year end
NBP Aitemaad 30.06.2019 0.83% (i) - - - -
Mahana Amdani Fund Year end
NAFA Government 30.06.2019 0.76% (i) - - - -
Securities Liquid Fund Year end
NAFA Savings 30.06.2019 0.85% (i) - - - -
Plus Fund Year end
NAFA Islamic 30.06.2019 0.70% (i) - - - -
Money Market Fund Year end
============================================================================================================

Indication:
Copyright Reuters, 2019

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