Trading of the shares of the company will be allowed only in the Spot Market and Block transaction will also be settled as per spot settlement cycle with cum benefit from 12.08.2026 to 13.08.2026 and trading of the shares will remain suspended on record date i.e., 16.08.2026.
Pubali Bank PLC. has informed that a meeting of the Trustee of Pubali Bank Perpetual Bond will be held on August 18, 2026 at 3:00 PM to declare the Record Date for the coupon payment to be made on September 23, 2026 for the period from March 23, 2026 to September 22, 2026.
On the close of operation on 10-Aug-2026, the Fund has reported Net Asset Value (NAV) of Tk. 6.94 per unit on the basis of current market price and Tk. 11.52 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 2,106,158,756.00 on the basis of current market price and Tk. 3,495,858,069.00 on the basis of cost price after considering all assets and liabilities of the Fund.
On the close of operation on 10-Aug-2026, the Fund has reported Net Asset Value (NAV) of Tk. 7.46 per unit on the basis of current market price and Tk. 11.53 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 2,230,645,043.00 on the basis of current market price and Tk. 3,448,895,285.00 on the basis of cost price after considering all assets and liabilities of the Fund.
On the close of operation on 10-Aug-2026, the Fund has reported Net Asset Value (NAV) of Tk. 7.12 per unit on the basis of current market price and Tk. 11.40 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 2,005,967,681.00 on the basis of current market price and Tk. 3,213,567,671.00 on the basis of cost price after considering all assets and liabilities of the Fund.
On the close of operation on 10-Aug-2026, the Fund has reported Net Asset Value (NAV) of Tk. 8.22 per unit on the basis of current market price and Tk. 11.78 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 1,496,735,422.00 on the basis of current market price and Tk. 2,146,503,873.00 on the basis of cost price after considering all assets and liabilities of the Fund.
The Company has informed that it has disbursed the Cash Dividend for the year ended June 30, 2025 to the respective shareholders.
On the close of operation on 10-Aug-2026, the Fund has reported Net Asset Value (NAV) of Tk. 6.40 per unit on the basis of current market price and Tk. 11.27 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 4,966,989,004.00 on the basis of current market price and Tk. 8,747,237,677.00 on the basis of cost price after considering all assets and liabilities of the Fund.
On the close of operation on 10-Aug-2026, the Fund has reported Net Asset Value (NAV) of Tk. 7.70 per unit on the basis of current market price and Tk. 11.67 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 1,102,747,653.00 on the basis of current market price and Tk. 1,671,085,413.00 on the basis of cost price after considering all assets and liabilities of the Fund.
On the close of operation on 10-Aug-2026, the Fund has reported Net Asset Value (NAV) of Tk. 6.14 per unit on the basis of current market price and Tk. 11.32 per unit on the basis of cost price against face value of Tk. 10.00 whereas total Net Assets of the Fund stood at Tk. 1,376,482,267.00 on the basis of current market price and Tk. 2,538,614,034.00 on the basis of cost price after considering all assets and liabilities of the Fund.