KEL
4.67 / 207.64M
0.44
|
WTL
1.29 / 42.92M
0.04
|
PIBTL
5.96 / 33.97M
-0.78
|
SSGC
9.95 / 17.00M
1.00
|
SEARL
64.65 / 16.18M
3.41
|
TELE
7.44 / 15.38M
0.41
|
SYM
10.24 / 12.81M
0.14
|
KOSM
7.97 / 12.01M
-0.27
|
HUBC
106.67 / 11.58M
1.31
|
PTC
15.78 / 11.05M
0.12
|
MLCF
38.82 / 10.75M
0.93
|
FCCL
30.33 / 10.21M
0.79
|
PSX
17.95 / 9.89M
1.15
|
CNERGY
3.83 / 9.02M
0.06
|
FFBL
57.75 / 8.76M
1.82
|
HUMNL
14.31 / 7.95M
0.25
|
OCTOPUS
100.90 / 7.90M
6.27
|
PIAA
22.17 / 7.47M
1.52
|
BFBIO
85.86 / 7.36M
2.00
|
DGKC
83.14 / 7.23M
2.59
|
FLYNG
20.32 / 7.09M
-0.26
|
MSCL
12.48 / 7.08M
-1.34
|
GAL
222.79 / 6.66M
15.28
|
WAVESAPP
7.68 / 5.99M
0.30
|
PAEL
25.41 / 5.87M
0.23
|
PACE
5.63 / 5.75M
-0.19
|
FFL
9.11 / 5.56M
0.00
|
PIAHCLA
20.06 / 5.44M
-0.60
|
FCL
25.17 / 5.40M
0.89
|
ATRL
488.34 / 5.30M
28.12
|
PRL
23.83 / 4.93M
0.11
|
TPLP
7.84 / 4.88M
0.04
|
CSAP
120.74 / 4.71M
2.14
|
OGDC
169.14 / 4.64M
2.17
|
CPHL
43.16 / 4.48M
0.60
|
FFC
255.87 / 4.37M
13.36
|
NETSOL
135.92 / 4.21M
3.62
|
GWLC
32.11 / 4.20M
2.92
|
HASCOL
6.38 / 4.15M
-0.01
|
HBL
138.74 / 3.98M
3.46
|
GHNI
405.32 / 3.94M
0.41
|
NML
71.21 / 3.44M
0.87
|
AVN
54.45 / 3.31M
0.42
|
PPL
130.95 / 3.13M
0.78
|
BOP
5.39 / 2.90M
-0.03
|
TRG
45.10 / 2.83M
0.24
|
DCL
8.05 / 2.69M
0.31
|
TREET
14.89 / 2.69M
-0.27
|
LOADS
10.47 / 2.67M
-0.34
|
HIFA
2.97 / 2.62M
0.31
|
Standard Capital
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Snapshot /
HIFA - HBL Investment Fund - (A)
Snapshot Menu
Company Detail`s
Overview
Funds Holding
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HIFA - HBL Investment Fund - (A)
CLOSE - END MUTUAL FUND
Share
Rs. 2.97
0.31 (11.65%)
Volume:
2,618,264
Market Cap:
0.84 bn
Avg Volume (12M):
527,695
Day`s Range
Rs. 2.75
Rs. 3.10
1 Month Range
Rs. 2.31
Rs. 2.97
6 Month Range
Rs. 2.29
Rs. 3.05
52 Week`s Range
Rs. 1.65
Rs. 4.70
Performance
1 Month
3 Month
6 Month
1 Year
19.76 %
4.21 %
6.07 %
71.68 %
Paid Up Capital:
2,841.25 mn
Total No. Shares:
284.13 mn
Free Float:
241.51 mn
Beta:
0.99
Facevalue:
10.00
Free Float %:
85.00 %
Year End:
June
Market Cap:
0.84 bn
Business Description
HBL Investment Fund was established under a Trust Deed, executed between HBL Asset Management Limited as the Management Company and Central Depository Company of Pakistan Limited as the Trustee. The Management Company of the Fund has been registered as a Non-Banking Finance Company (NBFC) under the NBFC Rules, 2003 and has obtained the requisite license from the SECP to undertake Asset Management Services.
Earnings
Latest EPS
Upto 2019 1Q
EPS Last Quarter
2019 1Q
Last Annual EPS
Upto 2018 4Q
Price To Earning P/E
Upto 0
Exp Price To Earning P/E
Upto 2019 1Q
Exp Earning Gowth
Upto 2019 1Q
Price Earning Growth
Upto 0
Rs. -0.07
Rs. -0.07
Rs. -1.26
N/A x
N/A x
77.78 %
N/A x
Important Ratios
Gross Margin
Upto 0
Sales Growth (YoY)
Sales Growth (QoQ)
Enterprise Value Per Share
Upto 0
Book Value Per Share
Upto 2019 1Q
Debt to Equity Ratio
Upto 0
xPrice Date
Dividend: 4%
N/A %
ss
ss
Rs. N/A
Rs. 8.94
0.37 %
04-Jul-2023
Equity Ratios
Book Value
Upto 2019 1Q
Exp Book Value
Upto 2019 1Q
Book Value Growth
Upto 2018 4Q
Exp Book Value Growth
Upto 2019 1Q
Price To Book Value
Upto 2019 1Q
Exp Price To Book Value
Upto 2019 1Q
Return On Equity
Upto 2018 4Q
Exp Return On Equity
Upto 2019 1Q
Retention Ratio
Upto 0
Exp Retention Ratio
Upto 0
Equity To Assets Ratio
Upto 2018 4Q
Return On Assets
Upto 2018 4Q
Return On Cap Employed
Upto 0
Rs. 8.94
Rs. 8.66
-14.14 %
-3.13 %
0.33 x
0.34 x
-6.60 %
-3.23 %
N/A %
N/A %
96.50 %
-6.37 %
N/A %
Dividends
Latest Dividend
Upto 2017 4Q
Dividend Last Quarter
2017 4Q
Last Annual Dividend
Upto 0
Dividend Yield
Upto 0
Expected Dividend
Upto 0
Expected Dividend Yield
Upto 0
Expected Dividend Growth
Upto 0
Dividend Cover
Upto 0
Payout Ratio
Upto 0
Expected Payout Ratio
Upto 0
Rs. 1.35
Rs. 1.35
Rs. N/A
N/A %
Rs. N/A
N/A %
N/A %
N/A x
N/A %
N/A %
Cash
Cash Flow Per Share
Upto 2019 1Q
Cash Per Share
Upto 2010 1Q
Rs. 0.21
Rs. 4.91
Net Asset Value (NAV)
Net Asset Value
Upto 2019 1Q
Discount To NAV
Upto 2019 1Q
Expected Net Asset Value
Upto 2019 1Q
Expected Discount To NAV
Upto 2019 1Q
Rs. 8.94
-66.78 %
Rs. 8.66
-65.70 %