
Net Asset
(Rs in Billion - As of 30th June)

Dividend History
(Amount in PKR/Unit.)

© Copyright National Investment Trust
Disclaimer
All investment in Mutual Funds and securities are subject to market risk, our target return / dividend range can not be guaranteed. NIT’s unit price is neither guaranteed nor administrated/ managed. It is based on Net Asset Value (NAV) and the NAV of NIT unit may go up or down depending upon the factors and forces affecting the stock market.
| | | About NIT Unit | | | Fund Performance | | | Fact Sheet | | |
| | | | | Sitemap | | |