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NAV News 2025

March 13, 2025
NAV (Net Asset Value), Investor's purchase price and Investor's sale price of of "AAML Unit Fund" as on Thursday March 13, 2025 at close of business operations are as follows:
NAV per Unit at Market Price: Tk. 9.12
NAV per Unit at Cost Price: Tk. 14.93
Investor's Purchase Price per Unit: Tk. 9.12
Investor's Sale Price per Unit: Tk. 9.12
Validity of Price:
March 16, 2025 to March 19, 2025
March 06, 2025
NAV (Net Asset Value), Investor's purchase price and Investor's sale price of of "AAML Unit Fund" as on Thursday March 06, 2025 at close of business operations are as follows:
NAV per Unit at Market Price: Tk. 9.10
NAV per Unit at Cost Price: Tk. 14.93
Investor's Purchase Price per Unit: Tk. 9.10
Investor's Sale Price per Unit: Tk. 9.10
Validity of Price:
March 09, 2025 to March 12, 2025
February 27, 2025
NAV (Net Asset Value), Investor's purchase price and Investor's sale price of of "AAML Unit Fund" as on Thursday February 27, 2025 at close of business operations are as follows:
NAV per Unit at Market Price: Tk. 9.25
NAV per Unit at Cost Price: Tk. 14.94
Investor's Purchase Price per Unit: Tk. 9.25
Investor's Sale Price per Unit: Tk. 9.25
Validity of Price:
March 02, 2025 to March 05, 2025
February 20, 2025
NAV (Net Asset Value), Investor's purchase price and Investor's sale price of of "AAML Unit Fund" as on Thursday February 20, 2025 at close of business operations are as follows:
NAV per Unit at Market Price: Tk. 9.17
NAV per Unit at Cost Price: Tk. 14.95
Investor's Purchase Price per Unit: Tk. 9.17
Investor's Sale Price per Unit: Tk. 9.17
Validity of Price:
February 23, 2025 to February 26, 2025
February 13, 2025
NAV (Net Asset Value), Investor's purchase price and Investor's sale price of of "AAML Unit Fund" as on Thursday February 13, 2025 at close of business operations are as follows:
NAV per Unit at Market Price: Tk. 9.16
NAV per Unit at Cost Price: Tk. 14.96
Investor's Purchase Price per Unit: Tk. 9.16
Investor's Sale Price per Unit: Tk. 9.16
Validity of Price:
February 16, 2025 to February 19, 2025
February 06, 2025
NAV (Net Asset Value), Investor's purchase price and Investor's sale price of of "AAML Unit Fund" as on Thursday February 06, 2025 at close of business operations are as follows:
NAV per Unit at Market Price: Tk. 9.16
NAV per Unit at Cost Price: Tk. 14.98
Investor's Purchase Price per Unit: Tk. 9.16
Investor's Sale Price per Unit: Tk. 9.16
Validity of Price:
February 09, 2025 to February 12, 2025
January 30, 2025
NAV (Net Asset Value), Investor's purchase price and Investor's sale price of of "AAML Unit Fund" as on Thursday January 30, 2025 at close of business operations are as follows:
NAV per Unit at Market Price: Tk. 9.20
NAV per Unit at Cost Price: Tk. 14.99
Investor's Purchase Price per Unit: Tk. 9.20
Investor's Sale Price per Unit: Tk. 9.20
Validity of Price:
February 02, 2025 to February 05, 2025
January 23, 2025
NAV (Net Asset Value), Investor's purchase price and Investor's sale price of of "AAML Unit Fund" as on Thursday January 23, 2025 at close of business operations are as follows:
NAV per Unit at Market Price: Tk. 9.44
NAV per Unit at Cost Price: Tk. 14.98
Investor's Purchase Price per Unit: Tk. 9.44
Investor's Sale Price per Unit: Tk. 9.44
Validity of Price:
January 26, 2025 to January 29, 2025
January 16, 2025
NAV (Net Asset Value), Investor's purchase price and Investor's sale price of of "AAML Unit Fund" as on Thursday January 16, 2025 at close of business operations are as follows:
NAV per Unit at Market Price: Tk. 9.40
NAV per Unit at Cost Price: Tk. 14.95
Investor's Purchase Price per Unit: Tk. 9.40
Investor's Sale Price per Unit: Tk. 9.40
Validity of Price:
January 19, 2025 to January 22, 2025
January 09, 2025
NAV (Net Asset Value), Investor's purchase price and Investor's sale price of of "AAML Unit Fund" as on Thursday January 09, 2025 at close of business operations are as follows:
NAV per Unit at Market Price: Tk. 9.63
NAV per Unit at Cost Price: Tk. 14.93
Investor's Purchase Price per Unit: Tk. 9.63
Investor's Sale Price per Unit: Tk. 9.63
Validity of Price:
January 12, 2025 to January 15, 2025
January 02, 2025
NAV (Net Asset Value), Investor's purchase price and Investor's sale price of of "AAML Unit Fund" as on Thursday January 02, 2025 at close of business operations are as follows:
NAV per Unit at Market Price: Tk. 9.63
NAV per Unit at Cost Price: Tk. 14.88
Investor's Purchase Price per Unit: Tk. 9.63
Investor's Sale Price per Unit: Tk. 9.63
Validity of Price:
January 05, 2025 to January 08, 2025

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