Loading…

Loading movers --

← Corporate Announcements

RESULT NBP-FUNDS NBP-FUNDS

NBP فنانشل سیکٹر انکم فنڈ نے مالی سال 2026 کے لیے 10.903% (Rs. 1.0903 فی شیئر) کیش ڈیویڈنڈ کا اعلان کر دیا۔ NFSIF reports PAT of Rs. 6,791m for FY26 and declares cash dividend of Rs. 1.0903/share (10.903%).

NBP-FUNDS NBP-FUNDS
View quote —
Stock ImpactPositive

Ex-date is not in this summary yet; check book closure in the official PSX attachment below.

EPS N/A
Dividend 1.0903
PAT YoY -23.0%
Period FY26
NBP Financial Sector Income Fund (NFSIF)
Financial Results & Payout • Year Ended June 30, 2026
ایگزیکٹو خلاصہ

NBP فنانشل سیکٹر انکم فنڈ (NFSIF) نے مالی سال 2026 کے مالی نتائج جاری کر دیے ہیں۔ فنڈ نے سال کے دوران 6,791.12 ملین روپے کا خالص منافع کمایا اور 10.903% (Rs. 1.0903 فی شیئر) انٹریم کیش ڈیویڈنڈ کا اعلان کیا۔

خالص منافع (PAT)
6,791.12 ملین روپے
کیش ڈیویڈنڈ
Rs. 1.0903 (10.903%)
فنڈ سائز
48.1 بلین روپے
اہم نکات (Key Highlights)
  • منافع: سالانہ خالص منافع 6,791.12 ملین روپے رہا (موازنہ FY25: 8,824.28 ملین روپے)۔
  • ڈیویڈنڈ: 10.903% (Rs. 1.0903 فی شیئر) کیش ڈیویڈنڈ (Ex-NAV 10.903% پار ویلیو)۔
  • فنڈ سائز: فنڈ کا سائز کم ہو کر 48.1 بلین روپے رہ گیا (36% کمی)۔
  • بینچ مارک ریٹرن: فنڈ نے 10.6% سالانہ ریٹرن دیا جو بینچ مارک کے برابر ہے۔
NBP Financial Sector Income Fund (NFSIF)
Financial Results & Payout • Year Ended June 30, 2026
Executive Summary

NBP Financial Sector Income Fund (NFSIF) has announced its financial results for the year ended June 30, 2026. The Fund generated a net income of Rs. 6,791.12 million and approved an interim cash dividend of 10.903% (Rs. 1.0903 per share) of the opening ex-NAV.

Profit After Tax
Rs. 6,791.12m
Cash Dividend
Rs. 1.0903 / 10.903%
Fund Size
Rs. 48.1bn
Financial MetricFY26 (Rs. '000)FY25 (Rs. '000)
Total Income7,637,1049,826,628
Total Expenses845,9871,002,344
Net Income / PAT6,791,1178,824,284
Key Highlights & Performance
  • Returns: The Fund posted a return of 10.6% p.a. vs benchmark return of 10.6% p.a.
  • Fund Size: Decreased by 36% to stand at Rs. 48.1 billion as of June 30, 2026.
  • NAV: Unit price increased from Rs. 9.6895 (Ex-NAV) to Rs. 10.7179 as of June 30, 2026.
  • Asset Allocation: Weighted average credit rating stands strong with robust cash equivalents and sovereign exposure.
PSX Data Portal

Today's financial results

Result filings from today's PSX session.

Negative
Financial Result TSMF

Tri-Star Mutual Fund Limited

Rs 15.35 (-5.5%)
EPS: Rs 0.51 Dividend: Rs Nil
Negative
Financial Result NCML

Nazir Cotton Mills Limited

Rs 16.50 (+0.0%)
EPS: Rs 3.21 Dividend: Rs Nil
Strong Positive
Financial Result AATM

Ali Asghar Textile Mills Limited

Rs 44.62 (+1.4%)
EPS: Rs 4.00 Dividend: Rs Nil
Positive
Financial Result ICCI

ICC Industries Limited

Rs 14.60 (+0.5%)
EPS: Rs 0.32 Dividend: Rs Nil