Primus Investment Management Limited – Daily NAV for December 17, 2013

Karachi, December 17, 2013 (PPI-OT):

Name of the Fund                                           Date             Offer          Redemption
PRIMUS CASH FUND (CF)                             December 17, 2013        102.0216         102.0216
PRIMUS DAILY RESERVE FUND (DRF)                   December 17, 2013        100.7617         100.7617
PIML-SMAF                                         December 17, 2013        105.7799         103.7057

For more information, contact:
Primus Investment Management Limited
4th Floor, Horizon Vista,
Commercial 10, Block No.4,
Scheme No. 5 Clifton,
Karachi, Pakistan.
Tel Off: +92 21 35290006-9
Fax: +92 21 35290004
Email: info@primusinvestements.com
Web: http://www.primusinvestments.com/index.aspx

The post Primus Investment Management Limited – Daily NAV for December 17, 2013 appeared first on AsiaNet-Pakistan.

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