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Dividend/Bonus announcements by the companies listed on the Pakistan Stock Exchange.





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YEAR Profit/(Loss) EPS ANNUAL CLOSURE OF

ENDED/ DIVIDEND/ After (Rs) GENERAL SHARE

HALF YEARLY/ BONUS/ Taxation MEETING TRANSFER

COMPANY QUARTERLY RIGHT (Rs. in BOOKS

ACCOUNTS million)

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Rafhan Maize 30.06.2019 1000% (ii) 2,346.771 254.08 - 05.09.2019 to

Products Co. Ltd. Half year 12.09.2019

Bank Alfalah Ltd 30.06.2019 20% (i) 6,208.959 3.50 - 11.09.2019 to

(Unconsolidated) Half year 17.09.2019

Bank Alfalah Ltd 30.06.2019 - 6,483.614 3.63 - -

(Consolidated) Half year

Cyan Ltd 30.06.2019 - (55.778) (0.95) - -

Half year

International 30.06.2019 15% (F) 2,664.373 6.12 25.09.2019 17.09.2019 to

Steels Ltd Year end 11:00 a.m. 25.09.2019

Indus Dyeing 30.06.2019 250% (i) - - - 05.09.2019 to

& Mfg Co.Ltd Year end 12.09.2019

Sunrays Textile 30.06.2019 250% (i) - - - 05.09.2019 to

Mills Ltd Year end 12.09.2019

Huffaz Seamless Pipe 30.06.2019 N I L 2.304 0.04 24.10.2019 10.08.2019 to

Industries Ltd Year end 4:00 p.m. 19.08.2019

Meezan Islamic Fund 30.06.2019 N I L (8,950.343) - - -

Year end

Al Meezan 30.06.2019 N I L (1,670.696) - - -

Mutual Fund Year end

KSE Meezan 30.06.2019 N I L (480.137) - - -

Index Fund Year end

Meezan 30.06.2019 N I L (344.832) - - -

Energy Fund Year end

Meezan Dedicated 30.06.2019 N I L (606.354) - - -

Equity Fund Year end

Meezan 30.06.2019 N I L (887.798) - - -

Balanced Fund Year end

Meezan Asset 30.06.2019 N I L (546.452) - - -

Allocation Fund Year end

Meezan Islamic 30.06.2019 N I L 804.539 - - -

Income Fund Year end

Meezan 30.06.2019 N I L 128.800 - - -

Sovereign Fund Year end

Meezan Cash Fund 30.06.2019 N I L 901.556 - - -

Year end

Meezan Gold Fund 30.06.2019 N I L 84.814 - - -

Year end

Meezan Financial 30.06.2019 N I L (252.484) - - -

Planning Fund of Funds Year end

Meezan Strategic 30.06.2019 N I L (913.240) - - -

Allocation Fund Year end

Meezan Strategic 30.06.2019 N I L 11.069 - - -

Allocation Fund II Year end

Meezan Strategic 30.06.2019 N I L (0.316) - - -

Allocation Fund III Year end

MCB Cash 30.06.2019 Re 0.4808 - - - -

Management Optimizer Year end per unit

Arif Habib - - - - 21.09.2019 14.09.2019 to

Corporation Ltd (EOGM) 21.09.2019

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Copyright Reuters, 2019


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