Corporate Info
Funds
Downloads
Investor Services
Sale:29.50
Repurchase:29.50
Fund: NIT-PGETF
21st Jul, 25 12:00 AM
Sale:148.45
Repurchase:144.09
Fund: NI(U)T
Valid For 21 Jul 2025
Sale:16.21
Repurchase:16.21
Fund: NIT-IEF
Valid For 21 Jul 2025
Sale:10.2394
Repurchase:10.1380
Fund: NIT-GBF
Valid For 21 Jul 2025
Sale:10.4659
Repurchase:10.3623
Fund: NIT-IF
Valid For 21 Jul 2025
Sale:9.8207
Repurchase:9.8207
Fund: NIT-MMF
Valid For 22 Jul 2025
Sale:9.7339
Repurchase:9.7339
Fund: NIT-IIF
Valid For 21 Jul 2025
Sale:17.9138
Repurchase:17.4769
Fund: NIT-AAF
Valid For 21 Jul 2025
Day End NAV: 29.4989
Fund: NIT-PGETF
Sale:25.7112
Repurchase:25.7112
Fund: NIT-IPFESF
Valid For 21 Jul 2025
Sale:102.8826
Repurchase:101.8640
Fund: NIT-IMMF
Valid For 22 Jul 2025
Sale:10.3345
Repurchase:10.3345
Fund: NIT-SIF
Valid For 21 Jul 2025
Sale:23.7524
Repurchase:23.7524
Fund: NIT-IPFMMSF
Valid For 21 Jul 2025
Sale:23.9538
Repurchase:23.9538
Fund: NIT-IPFDSF
Valid For 21 Jul 2025
Sale:27.1115
Repurchase:27.1115
Fund: NIT-PFESF
Valid For 21 Jul 2025
Sale:26.8324
Repurchase:26.8324
Fund: NIT-PFMMSF
Valid For 21 Jul 2025
Sale:27.4800
Repurchase:27.4800
Fund: NIT-PFDSF
Valid For 21 Jul 2025
Sale:124.1371
Repurchase:124.1371
Fund: KPK-IPF
Valid For 21 Jul 2025
Sale:127.2217
Repurchase:127.2217
Fund: KPK-PF
Valid For 21 Jul 2025