Friday, September 22nd, 2017

Rates and Schedules

  • CU-Managed Fund Rates on Wednesday (January 07, 2004). ============================= Offer Price 269.33 Bid Price 255.85 ============================= Copyright Business Recorder, 2004

  • PIB secondary market yield rates on Wednesday (January 07, 2004). =========================================== Date 10-years 5-years 3-years =========================================== 30-Dec-03 6.40-6.44 5.00-5.10 3.90-3.95 31-Dec-03 6.38-6.41 5.00-5.10 3.90-3.95 2-Jan-04 6.42-6.52 5.00-5.10 3.90-3.95 3-Jan-04 6.40-6.45 5.00-5.10 3.90-3.95 5-Jan-04 6.30-6.40 4.95-5.10

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  • Treasury bills secondary market yields rate on Wednesday (January 07, 2004). =========================================== Date 3-Months 6-Months 12-Months =========================================== 30-Dec-03 2.20-2.40 2.10-2.30 2.20-2.40 31-Dec-03 2.20-2.40 2.10-2.30 2.20-2.40 2-Jan-04 2.20-2.40 2.10-2.30 2.20-2.40 3-Jan-04 2.20-2.40 2.10-2.30 2.20-2.40 5-Jan-04 1.65-2.00

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  • US treasuries bid yields on Wednesday (January 07, 2004). =========================================================================== US TREASURIES (BID YIELDS) =========================================================================== DATE 1 MO 3 MO 6 MO 2 YR 3 YR 5 YR 10 YR 10 YR 30 YR 30

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  • US treasuries bid prices on Wednesday (January 07, 2004). ========================================================================================= US TREASURIES (BID PRICES) ========================================================================================= DATE 1 MO 3 MO 6 MO 2 YR 3 YR 5 YR 10 YR 10 YR 30 YR 30

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  • Open market rates of foreign currencies supplied by the Forex Association of Pakistan on Wednesday (January 07, 2004). ========================================================================= CURRENCY BUYING SELLING CURRENCY BUYING SELLING ========================================================================= US$ O/M 57.47 57.52 Euro 72.60 72.90 UK Pound

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  • London Interbank Offered Rates (LIBOR) on Wednesday (January 07, 2004). ========================================================= Rates at 11:00 London time Wednesday (January 07, 2004) ========================================================= USD GBP CAD EUR JPY --------------------------------------------------------- O/N 1.04250 3.72000 - 2.05125 0.03625 1 Week

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  • Firmness prevailed in the Interbank Forex Market as both the Pak rupee/dollar parity oscillated in a narrow range of 2.0 to 3.0 paisa during the day. The "spot-market" opened with the greenback changing hands in

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  • Karachi Shipping Intelligence report incorporating changes till 7 am on Wednesday (January 07, 2004). =============================================================================== Berth Vessels Working Agent Berthing No Along side Date =============================================================================== Along Side (Bulk Oil Pier) OP-I Johar D. Crude Oil

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  • Spot Dollar rates from Khadim Ali Shah Bukhari & Co Ltd on Wednesday (January 07, 2004). ========================================== Ex Interbank Rate PKR against USD ========================================== Buying Selling HIGH LOW CLOSE ========================================== Ready 57.4300 57.4400 57.4350 1

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