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22 Sep 2024

GREENDELMF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 9.31 per unit on the basis of current market price and Tk. 10.36 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 1,395,906,327.50 on the basis of current market price and Tk. 1,553,519,626.80 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

DBH1STMF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 9.19 per unit on the basis of current market price and Tk. 10.21 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 1,102,532,007.44 on the basis of current market price and Tk. 1,224,805,418.26 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

SEMLIBBLSF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 10.11 per unit on the basis of current market price and Tk. 11.11 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 1,010,859,389.96 on the basis of current market price and Tk. 1,110,829,795.73 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

SEMLFBSLGF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 9.71 per unit on the basis of current market price and Tk. 10.71 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 708,365,361.15 on the basis of current market price and Tk. 781,532,493.06 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

RELIANCE1: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 11.93 per unit on the basis of current market price and Tk. 11.03 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 721,720,065.00 on the basis of current market price and Tk. 667,456,795.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

SEMLLECMF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 10.09 per unit on the basis of current market price and Tk. 11.31 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 504,330,906.81 on the basis of current market price and Tk. 565,520,847.77 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

GRAMEENS2: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 17.79 per unit on the basis of current market price and Tk. 10.98 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 3,245,318,351.00 on the basis of current market price and Tk. 2,003,083,852.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

EXIM1STMF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 8.63 per unit on the basis of current market price and Tk. 11.30 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 1,236,530,261.00 on the basis of current market price and Tk. 1,618,351,169.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

CAPITECGBF: Weekly NAV

On the close of operation on 19-Sep-2024, the Fund has reported Net Asset Value (NAV) of Tk. 09.46 per unit on the basis of current market price and Tk. 10.42 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 1,473,168,173.73 on the basis of current market price and Tk. 1,621,903,259.48 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

FBFIF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 8.69 per unit on the basis of current market price and Tk. 11.20 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 6,741,783,616.00 on the basis of current market price and Tk. 8,693,324,094.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

ABB1STMF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 9.34 per unit on the basis of current market price and Tk. 11.43 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 2,232,739,233.00 on the basis of current market price and Tk. 2,731,924,018.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

ATCSLGF: Weekly NAV

On the close of operation on 19-Sep-2024, the Fund has reported Net Asset Value (NAV) of Tk. 9.23 per unit on the basis of current market price and Tk. 11.30 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 570,203,484.00 on the basis of current market price and Tk. 698,311,788.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

1JANATAMF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 8.05 per unit on the basis of current market price and Tk. 11.30 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 2,332,887,331.00 on the basis of current market price and Tk. 3,276,523,958.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

EBLNRBMF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 8.73 per unit on the basis of current market price and Tk. 11.15 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 1,957,394,642.00 on the basis of current market price and Tk. 2,501,369,935.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

CAPMIBBLMF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 8.96 per unit on the basis of current market price and Tk. 11.02 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 599,327,021.42 on the basis of current market price and Tk. 736,692,229.70 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

PHPMF1: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 8.88 per unit on the basis of current market price and Tk. 11.11 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 2,503,726,156.00 on the basis of current market price and Tk. 3,130,462,288.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

IFIC1STMF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 9.01 per unit on the basis of current market price and Tk. 11.55 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 1,641,841,133.00 on the basis of current market price and Tk. 2,103,726,916.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

POPULAR1MF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 8.74 per unit on the basis of current market price and Tk. 11.14 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 2,614,946,276.00 on the basis of current market price and Tk. 3,331,608,968.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

TRUSTB1MF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 8.62 per unit on the basis of current market price and Tk. 11.36 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 2,617,516,252.00 on the basis of current market price and Tk. 3,447,355,506.00 on the basis of cost price after considering all assets and liabilities of the Fund.

22 Sep 2024

CAPMBDBLMF: Weekly NAV

On the close of operation on September 19, 2024, the Fund has reported Net Asset Value (NAV) of Tk. 8.91 per unit on the basis of current market price and Tk. 11.06 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 446,565,638.36 on the basis of current market price and Tk. 554,523,141.86 on the basis of cost price after considering all assets and liabilities of the Fund.

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