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Shariah-compliant fund

Faysal Islamic Asset Allocation Fund III (Faysal Shariah Flex Plan II)

Faysal Asset Management Limited

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Shariah Compliant Asset Allocationforward pricing
Latest NAV · PKR
108.4689as of 5 Oct 2026
5Y total return
Unavailablehistory or payout data incomplete
10Y total return
Unavailablehistory or payout data incomplete
First NAV record
25 Nov 2025earliest data available

NAV history

Unit price only. Payout-adjusted results are under Your investment.

Period