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Mutual Funds · Category

8 Aggressive Fixed Income funds

NAVs as at 31 Aug 2026

Fund NAV 30 D YTD 1 Year TER
Pakistan Income Enhancement Fund MCB Investment Management Limited Rs 56.2003 +7.06% +8.51% +17.21% 1.99%
Askari High Yield Scheme Pak Oman Asset Management Company Limited Rs 105.2149 −5.16% +3.72% +15.54% 0.42%
AKD Aggressive Income Fund AKD Investment Management Limited Rs 55.5957 +8.15% +10.22% +12.87% 1.96%
Alfalah Income & Growth Fund Alfalah Asset Management Limited Rs 120.3475 +11.03% +11.17% +12.41% 0.27%
MCB Investment Savings Plan I MCB Investment Management Limited Rs 102.4900 +10.97% +11.10% +11.15% 0.45%
UBL Growth & Income Fund UBL Fund Managers Limited Rs 87.3227 +8.04% +8.72% +10.48% 1.64%
Alfalah GHP Income Multiplier Fund Alfalah Asset Management Limited Rs 55.7792 +11.34% +11.04% +9.64% 0.90%
AKD Alpha Income Fund AKD Investment Management Limited Rs 52.4011 +12.15% +10.60% 1.09%

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