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Shariah-compliant fund category

Islamic Money Market Funds in Pakistan

Latest NAV, inception date and 5-year total return with payouts for every Islamic money market funds in the MUFAP catalog.

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36 Shariah-compliant funds · oldest first5-year returns include reinvested payouts
Fund & asset managerCategoryLatest NAV · PKRInception date5Y total returnView fund
Meezan Cash Fund

Al Meezan Investment Management Limited

Money Market
HBL Islamic Money Market Fund

HBL Asset Management Limited

Money Market
Al Ameen Islamic Cash Fund

UBL Fund Managers Limited

Money Market
NBP Islamic Money Market Fund

NBP Fund Management Limited

Money Market
Meezan Rozana Amdani Fund

Al Meezan Investment Management Limited

Money Market
Faysal Halal Amdani Fund

Faysal Asset Management Limited

Money Market
NBP Islamic Daily Dividend Fund

NBP Fund Management Limited

Money Market
ABL Islamic Cash Fund

ABL Asset Management Company Limited

Money Market
Al Ameen Islamic Cash Plan I

UBL Fund Managers Limited

Money Market
Faysal Islamic Cash Fund

Faysal Asset Management Limited

Money Market
Alhamra Islamic Money Market Fund

MCB Investment Management Limited

Money Market
JS Islamic Money Market Fund (Formerly: JS Islamic Daily Dividend Fund)

JS Investments Limited

Money Market
Alfalah Islamic Rozana Amdani Fund

Alfalah Asset Management Limited

Money Market
Atlas Islamic Money Market Fund

Atlas Asset Management Limited

Money Market
NIT Islamic Money Market Fund

National Investment Trust Limited

Money Market
Pak Oman Daily Dividend Fund

Pak Oman Asset Management Company Limited

Money Market
AL Habib Islamic Cash Fund

AL Habib Asset Management Limited

Money Market
Lakson Islamic Money Market Fund

Lakson Investments Limited

Money Market
Pak Qatar Asan Munafa Plan

Pak-Qatar Asset Management Company Limited

Money Market
Pak Qatar Cash Plan

Pak-Qatar Asset Management Company Limited

Money Market

Inception dates are MUFAP’s official launch dates, or the earliest available NAV record where MUFAP lists none. Cumulative returns run to each fund’s latest NAV with verified payout coverage, before fees and taxes. Unavailable means the required history or verified payout coverage is missing. Data may be cached for up to five minutes.