Notice for Change in Offering Documents of Funds under management of HBL AMC
- December 31, 2024
HBL Asset Management Limited, in compliance with SECP Directive No. 24 of 2024 & with prior approval from Central Depository Company of Pakistan Limited has revised the Performance Benchmarks of all Funds under its management. The revision has been made through Consolidated Supplemental Offering Document of following Funds;
No. | Fund Name |
---|---|
1 | HBL Money Market Fund |
2 | HBL Cash Fund |
3 | HBL Islamic Money Market Fund |
4 | HBL Income Fund |
5 | HBL Financial Sector Income Fund |
7 | HBL Government Securities Fund |
8 | HBL Islamic Income Fund |
9 | HBL Multi Asset Fund |
10 | HBL Islamic Asset Allocation Fund |
13 | HBL Stock Fund |
14 | HBL Equity Fund |
15 | HBL Energy Fund |
16 | HBL Islamic Stock Fund |
17 | HBL Islamic Equity Fund |
19 | HBL Mehfooz Munafa Fund |
22 | HBL Growth Fund |
23 | HBL Investment Fund |
24 | HBL Islamic Savings Fund |
25 | HBL Islamic Fixed Term Fund |
Effective Date: The revised benchmarks will be effective from January 1, 2025.
Updated Documents: The updated Offering Documents for these funds are available on our website: Click here to access.
Customer Services
HBL Asset Management
7th Floor, Emerald Tower, G-19, Block 5, Main Clifton Road, Clifton, Karachi www.hblasset.com
Call us at: 0800 – 42526