Skip to content

Pakistan mutual fund

KSE Meezan Index Fund

Review KSE Meezan Index Fund NAV, published returns, risk profile, fees, AUM and payout information from imported Pakistan mutual-fund sources.

Latest NAVRs 178.91
NAV date2026-08-20
Offer priceUnavailable
Repurchase priceUnavailable
Risk profileHigh
CategoryShariah Compliant Index Tracker (Absolute Return)

Published returns

MTD+0.89%
YTD-3.15%
1 month+0.60%
3 months+3.36%
6 months+2.23%
1 year+16.07%
2 years+96.07%
3 years+197.94%

Returns are displayed using the fund's imported published return basis. They are not a forecast.

Fund profile

Asset manager
Al Meezan Investment Management Limited
Fund type
Open-End Funds
Published basis
absolute
Benchmark
Unavailable
Shariah compliant
Yes
Inception
2012-05-28

Fees and assets

TER MTD
0.00%
TER YTD
0.00%
Management fee
+0.75%
AUM
Rs 8,054.15 million

Expense and AUM dates may differ from the latest NAV date.

Portfolio allocation

Allocation data is unavailable from the current imported public fund feed.

PortfolioPK does not estimate or invent missing holdings.

Recent payout records

DateTypePer unitPercentage
24 Jun 2026cash_distribution8.00+4.19%

Related Shariah Compliant Index Tracker (Absolute Return) peers

FundRiskPublished 1-year return
No category peers with published data are available.

Peer returns retain each fund's published return basis and are not forecasts.