Shariah-compliant fund
Faysal Islamic Financial Growth Fund II
Faysal Asset Management Limited
- Latest NAV · PKR
- 102.9689as of 5 Oct 2026
- 5Y total return
- Unavailablehistory or payout data incomplete
- 10Y total return
- Unavailablehistory or payout data incomplete
- First NAV record
- 10 Dec 2025earliest data available
NAV history
Unit price only. Payout-adjusted results are under Your investment.