ABL-FUNDS

ABL-FUNDS

Announcement of Financial Results of ABL Funds for the Nine Months / Period Ended March 31, 2026

28 Apr 2026 · 2:55 PM

Financial ResultsCAUTIOUSLY NEGATIVE

📊 Financial Result · ABL-FUNDS ABL-FUNDS has announced its financial results for the nine months ended March 31, 2026, revealing a mixed performance across its various funds.

  • Reporting Period: Nine months ended March 31, 2026 (Un-audited)
  • Total Assets: PKR 68,709.40M (down from PKR 71,529.88M YoY)
  • Net Assets: PKR 68,340.40M (up from PKR 41,055.17M YoY)
  • Net Asset Value per Unit: PKR 11.0275 (up from PKR 10.2552 YoY)
  • Total Income: PKR 5,385.22M (down from PKR 9,317.13M YoY)
  • Net Income: PKR 4,843.39M (down from PKR 8,421.51M YoY)
  • Earnings per Unit: PKR 2.8184 (down from PKR 6.1512 YoY)
  • Dividend: No dividends announced for this period.
  • The decline in total income was primarily driven by lower gains on investments and reduced income from government securities.

About this brief: prepared automatically by BSL’s research systems from the company’s filing with the exchange. A summary for information, not investment advice — the original filing is the authoritative record.

Original filing (PDF)