Dividend Distribution – Period Ended June 23, 2019

June 24, 2019

The Management of NBP Funds has announced per unit Dividend Distribution in following funds for the period ended June 23, 2019.NAFA Income Opportunity Fund – Rs. 0.5589, NBP Islamic Savings Fund (Formerly; NAFA Islamic Income Fund) – Rs. 0.7927, NBP Savings Fund (Formerly; NAFA Income Fund) – Rs. 0.8911, NBP Islamic Mahana Amdani Fund (Formerly; NBP Aitemaad Mahana Amdani Fund) – Rs. 0.0830, NAFA Government Securities Liquid Fund – Rs. 0.0764, NBP Mahana Amdani Fund (Formerly; NAFA Savings Plus Fund) – Rs. 0.0845, NAFA Islamic Money Market Fund – Rs. 0.0701, NAFA Active Allocation Riba Free Savings Fund – Rs. 0.7570