We are pleased to inform you that the Chief Executive Officer, under the authority granted by the Board of Directors of UBL Fund Managers Limited, has approved interim distribution as below:
UBL LIQUIDITY PLUS FUND
An Interim Cash Dividend for the period ended June 27, 2019, at Rs. 0.5858 per unit i.e. 0.58%.
AL AMEEN ISLAMIC CASH FUND
An Interim Cash Dividend for the period ended June 27, 2019, at Re. 0.5509 per unit i.e. 0.55%.
UBL SPECIAL SAVINGS PLAN ‐ III (UNDER UBL SPECIAL SAVING FUND)
An Interim Cash Dividend for the period ended June 27, 2019, at Rs. 1.6531 per unit i.e. 1.65%.
UBL SPECIAL SAVINGS PLAN ‐ IV (UNDER UBL SPECIAL SAVING FUND)
An Interim Cash Dividend for the period ended June 27, 2019, at Re. 0.9757 per unit i.e. 0.97%.
UBL ACTIVE PRINCIPAL PRESERVATION PLAN I (UNDER UBL FINANCIAL PLANNING FUND)
Nil
UBL ACTIVE PRINCIPAL PRESERVATION PLAN II (UNDER UBL FINANCIAL PLANNING FUND)
An Interim Cash Dividend for the period ended June 27, 2019, at Rs. 2.1534 per unit i.e. 2.15%.
UBL ACTIVE PRINCIPAL PRESERVATION PLAN III (UNDER UBL FINANCIAL PLANNING FUND)
An Interim Cash Dividend for the period ended June 27, 2019, at Re. 0.1127 per unit i.e. 0.11%.
AL‐AMEEN ISLAMIC ACTIVE PRINCIPAL PRESERVATION PLAN ‐ I (UNDER AL‐AMEEN ISLAMIC FINANCIAL PLANNING FUND ‐ II)
Nil
AL‐AMEEN ISLAMIC ACTIVE PRINCIPAL PRESERVATION PLAN ‐ II (UNDER AL‐AMEEN ISLAMIC FINANCIAL PLANNING FUND ‐ III)
Nil
AL‐AMEEN ISLAMIC ACTIVE PRINCIPAL PRESERVATION PLAN ‐ III (UNDER AL‐AMEEN ISLAMIC FINANCIAL PLANNING FUND ‐ III)
Nil
AL‐AMEEN ISLAMIC ACTIVE PRINCIPAL PRESERVATION PLAN ‐ IV (UNDER AL‐AMEEN ISLAMIC FINANCIAL PLANNING FUND ‐ III)
An Interim Cash Dividend for the period ended June 27, 2019, at Re. 0.2677 per unit i.e. 0.26%.
UBL ASSET ALLOCATION FUND
Nil
The above entitlement will be credited to unit holders, whose names appeared in the register of unit holders at the close of business on June 27, 2019