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RESULT NBP-FUNDS NBP-FUNDS

NBP پاکستان گروتھ ایکسچینج ٹریডেڈ فنڈ نے FY26 میں 100.98 ملین روپے منافع کا اعلان کیا۔ NBP Pakistan Growth Exchange Traded Fund reports FY26 PAT of Rs. 100.98M; NAV stands at PKR 27.1974.

NBP-FUNDS NBP-FUNDS
View quote —
Stock ImpactPositive
EPS N/A
Dividend Nil
PAT YoY +79.5%
Period FY26
NBP Pakistan Growth Exchange Traded Fund
مالیاتی نتائج (سالانہ) • ۳۰ جون ۲۰۲۶ کو ختم ہونے والا سال

خلاصہ

این بی پی پاکستان گروتھ ایکسچینج ٹریডেڈ فنڈ (NBPGETF) نے ۳۰ جون ۲۰۲۶ کو ختم ہونے والے سال کے مالیاتی نتائج کا اعلان کر دیا ہے۔ مالی سال ۲۶ء میں فنڈ نے شاندار کارکردگی کا مظاہرہ کرتے ہوئے 100.98 ملین روپے کا خالص منافع حاصل کیا۔

اہم خد و خال

  • کل آمدنی: 103.40 ملین روپے (گزشتہ سال 52.17 ملین روپے)
  • خالص منافع بعد از ٹیکس: 100.98 ملین روپے (گزشتہ سال 56.26 ملین روپے)
  • فی یونٹ نیٹ ایسٹ ویلیو (NAV): 27.1974 روپے (گزشتہ سال 21.7785 روپے)
  • مجموعی اثاثہ جات: 254.57 ملین روپے
  • ڈیویڈنڈ: سال کے دوران عبوری نقد منافع کا اعلان کیا گیا، جبکہ پی ایس ایکس کی باضابطہ رپورٹ کے مطابق اس مدت کے لیے کسی نئے حتمی ڈیویڈنڈ کی سفارش نہیں کی گئی۔
NBP Pakistan Growth Exchange Traded Fund
Financial Results (Annual) • Period Ended June 30, 2026

Executive Summary

NBP Pakistan Growth Exchange Traded Fund (NBPGETF) has announced its financial results for the year ended June 30, 2026. The Fund registered a strong performance during FY26, posting a total income of Rs. 103.40 million and a net income after taxation of Rs. 100.98 million. The KSE-100 index rose 43.5% during the period, while NBPGETF increased by 49.8% versus the Benchmark increase of 52.2%.

Key Highlights & Performance

  • Total Income: Rs. 103.40 million (vs. Rs. 52.17 million in FY25)
  • Total Expenses: Rs. 2.43 million (vs. Rs. 1.73 million in FY25)
  • Net Income After Taxation: Rs. 100.98 million (vs. Rs. 56.26 million in FY25)
  • Net Assets Value (NAV) per unit: PKR 27.1974 (vs. PKR 21.7785 last year)
  • Units in Issue: 9,360,000 units (vs. 6,340,000 units in FY25)
  • Dividend: Interim cash dividend of 24.654% of opening ex-NAV (53.693% of par value) approved during the year. Per formal PSX disclosure notice, no final dividend is recommended for the period ended June 30, 2026.

Financial Snapshot (PKR in '000)

MetricFY26FY25Change %
Total Income103,40052,172+98.2%
Net Income After Tax100,97556,259+79.5%
Net Assets254,568138,076+84.4%

Asset Allocation & Portfolio

The Fund maintains a heavy focus on listed equity securities (98.7% of NAV as of June 30, 2026), primarily concentrated in Commercial Banks (32.1%), Oil & Gas Exploration Companies (26.3%), and Fertilizers (13.3%).

Investor Takeaway

NBPGETF delivered robust earnings growth supported by favorable market conditions in FY26. Investors should monitor equity market volatility and tracking error performance.

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