Print
Print 2019-04-19
Dividend/Bonus Announcements
Dividend/Bonus announcements by the companies listed on the Pakistan Stock Exchange.
Dividend/Bonus announcements by the companies listed on the Pakistan Stock Exchange.
============================================================================================================
YEAR Profit/(Loss) EPS ANNUAL CLOSURE OF
ENDED/ DIVIDEND/ After (Rs) GENERAL SHARE
HALF YEARLY/ BONUS/ Taxation MEETING TRANSFER
COMPANY QUARTERLY RIGHT (Rs. in BOOKS
ACCOUNTS million)
============================================================================================================
Pakistan 31.03.2019 5% (i) - - - 13.05.2019 to
Telecommunication Co. First Quarter 22.05.2019
Dolmen City REIT 31.03.2019 3.3% (iii) 5,140.383 2.31 - 10.05.2019 to
Nine months 16.05.2019
BIPL Securities Ltd 31.03.2019 - (9.219) (0.09) - -
First Quarter
Altern Energy Ltd 31.03.2019 - 1,198.195 3.30 - -
(Unconsolidated) Nine months
Altern Energy Ltd 31.03.2019 - 1,762.213 2.78 - -
(Consolidated) Nine months
Modaraba Al Mali 31.03.2019 - 5.434 0.29 - -
Nine months
International Industries 31.03.2019 - 1,357.655 11.32 - -
(Unconsolidated) Nine months
International Industries 31.03.2019 - 2,775.691 14.59 - -
(Consolidated) Nine months
Fauji Cement 31.03.2019 - 2,440.274 1.77 - -
Co. Ltd Nine months
Baluchistan 31.03.2019 - 67.894 5.09 - -
Wheels Ltd Nine months
Din Textile 31.03.2019 - 172.660 5.92 - -
Mills Ltd Nine months
PIML Value 31.03.2019 - (12.254) - - -
Equity Fund Nine months
PIML Islamic 31.03.2019 - (15.633) - - -
Equity Fund Nine months
PIML Islamic 31.03.2019 - 5.305 - - -
Income Fund Nine months
PIML 31.03.2019 - 63.171 - - -
Income Fund Nine months
PIML Asset 31.03.2019 - (20.749) - - -
Allocation Fund Nine months
Meezan 31.03.2019 - (4,026.210) - - -
Islamic Fund Nine months
Al Meezan 31.03.2019 - (738.209) - - -
Mutual Fund Nine months
KSE Meezan 31.03.2019 - (222.215) - - -
Index Fund Nine months
Meezan Energy Fund 31.03.2019 - (213.966) - - -
Nine months
Meezan Dedicated 31.03.2019 - (310.510) - - -
Equity Fund Nine months
Meezan 31.03.2019 - (367.485) - - -
Balanced Fund Nine months
Meezan Asset 31.03.2019 - (261.881) - - -
Allocation Fund Nine months
Meezan Islamic 31.03.2019 - 547.243 - - -
Income Fund Nine months
Meezan Sovereign 31.03.2019 - 68.172 - - -
Fund Nine months
Meezan Cash Fund 31.03.2019 - 620.400 - - -
Nine months
Meezan Rozana 28.12.2018 to - 101.437 - - -
Amdani Fund 31.03.2019
Meezan Gold Fund 31.03.2019 - 33.249 - - -
Nine months
Meezan Financial 31.03.2019 - (626.344) - - -
Planning Fund of Funds Nine months
Meezan Strategic 31.03.2019 - (393.388) - - -
Allocation Fund Nine months
============================================================================================================
Indication:
Comments
Comments are closed.