ICB AMCL announces NAV of two unit funds

Last updated: September 1, 2012
Dhaka, Bangladesh (BBN) - ICB Asset Management Company Limited (ICB AMCL) has disclosed net asset value (NAV) of two unit funds at the close of business operation on August 28.
The total net asset value (NAV) of ICB AMCL Pension Holders' Unit Fund stood at BDT 612,366,059.92 on the basis of cost price and BDT 476,259,626.15 on the basis of market price at the close of business operation on August 28.
The net asset value (NAV) per unit stood at BDT 236.27 on the basis of current market price on the same day against the face value of BDT 100.00 per unit after taking into consideration all assets and liabilities of the Fund. 
The sale and re purchase prices of the ICB AMCL Pension Holders' Unit certificate have been re fixed at BDT 241.00 and BDT 236.00 per unit respectively will be effective from September 2, 2012.
On the other hand, the total net asset value (NAV) of ICB AMCL Unit Fund stood at BDT 4,308,952,510.49 on the basis of cost price and BDT 3,702,564,419.14 on the basis of market price at the close of business operation on August 28 last.
The net asset value (NAV) per unit stood at BDT 261.16 on the basis of current market price on the same day against the face value of BDT 100.00 per unit after taking into consideration all assets and liabilities of the Fund. 
The sale and re purchase prices of the ICB AMCL Unit certificate have been re fixed at BDT 266.00 and BDT 261.00 per unit respectively will be effective from September 2, 2011, the company said.
 
BBN/SSR/AD-01Spt12-12:10 pm (BST) 
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