Published returns
MTD+6.92%
YTD+7.14%
1 month+6.95%
3 months+7.24%
6 months+6.83%
1 year+7.44%
2 years+9.43%
3 years+15.23%
Returns are displayed using the fund's imported published return basis. They are not a forecast.
Pakistan mutual fund
Review Pak Oman Income Fund NAV, published returns, risk profile, fees, AUM and payout information from imported Pakistan mutual-fund sources.
Returns are displayed using the fund's imported published return basis. They are not a forecast.
Expense and AUM dates may differ from the latest NAV date.
Allocation data is unavailable from the current imported public fund feed.
PortfolioPK does not estimate or invent missing holdings.
| Date | Type | Per unit | Percentage |
|---|---|---|---|
| 19 Jun 2026 | cash_distribution | 0.80 | +6.86% |
| Fund | Risk | Published 1-year return |
|---|---|---|
| ABL Financial Sector Fund Plan I | Medium | +10.59% |
| ABL Government Securities Fund | Medium | +10.03% |
| ABL Income Fund | Medium | +10.06% |
| AL Habib Government Securities Fund | Medium | +10.38% |
| AL Habib Income Fund | Medium | +10.63% |
| AL Habib Sovereign Income Fund Plan 1 | Medium | +11.11% |
| AL Habib Sovereign Income Fund Plan 2 | Medium | +10.92% |
| AL Habib Sovereign Income Fund Plan 3 | Medium | +11.11% |
Peer returns retain each fund's published return basis and are not forecasts.
Latest NAV: 20 August 2026.
Imported: 2026-08-20.
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