HOME | Sitemap | CONTACT US

Media Center

News Releases

Pictures

Press Advertisement

 

Dated:02 November 2017

POAMCL : Merger of Askari Investment Management Limited with and into Pak Oman Asset Management Company Limited effective 30th October 2017

View Detail

 

Dated:30 June 2016

POAMCL : Announcement of interim cash dividend for the period ending June 2016.

View Detail

 

Dated:05 August 2015

Pak Oman Advantage Fund (POAF) : Notice for dispatching of cheques for final proceeds to certificate holders on winding up of POAF.

Pakistan Observer | Dunya Urdu

 

Dated:23 June 2015

POAMCL: Notice of Book Closure.

The Financial Daily | Jisarat Urdu

 

Dated:18 June 2015

POAF: Dispatch of Interim Dividend Warrants.

The Financial Daily | Jisarat Urdu

 

Dated:27 May 2015

Board Meeting (POAF) :We are pleased to inform you that the Board of Dirrectors of Pak Oman Asset Management Company Limited (POAMCL)- Management Company of "Pak Oman Advantage Fund" (POAF) closed end scheme, in their meeting held on May 27, 2015 at 11:00 am (OST) in Muscat-Oman approved the following.

POAF_Interim_Cash_Dividend

 

Dated:20 May 2015

Board Meeting (POAF) : This is to inform you that a meeting of Board of Directors of Pak Oman Asset Management Company Limited (POAMCL), the Management Company of Pak Oman Advantage Fund (POAF), will be held on May 27, 2015 at 11:00 a.m (Oman Time) at Muscat-Oman.

POAF-Notice_of_Board_Meeting_for_interim_dividend

 

 

Dated:24 April 2015

Pak Oman Advantage Fund: Notice for WINDING UP AT MATURITY OF CLOSED END SCHEME - POAF

Winding_up_POAF_24042015

The Financial Daily | Jisarat Urdu

 

Dated:26 June 2014
Dividend Declared: This is to inform you that the Board of Directors of Pak Oman Asset Management Company Limited (POAMCL), in its meeting held on Thursday, June 26, 2014 at 02:30 p.m, in Karachi, has approved the following dividend on POAMCL Funds:

FUND
Dividend Declared
Pak Oman Government Securities Fund – (POGSF)
Rs. 0.5520/- per unit of par value Rs. 10/-
Pak Oman Islamic Asset Allocation Fund – (POIAAF)
Rs. 9.0720/- per unit of par value Rs. 50/-
Pak Oman Advantage Asset Allocation Fund – (POAAAF)
Rs. 4.6196/- per unit of par value Rs. 50/-
Pak Oman Advantage Islamic Income Fund – (POAIIF)
Rs. 1.7270/- per unit of par value Rs. 50/-

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders as on June 23, 2014.

Should you have any queries or concerns, please feel free to contact us our PABX # +9221-35361465 – 68, Fax - +9221-35361469 or you may email us at info@pakomanfunds.com.

Dated:17 June 2014

POAMCL: Notice of Book Closure.

The Financial Daily | Jisarat Urdu

 

Dated:05 December 2013

Pak Oman Advantage Fund: Notice for Dispatch of Final Dividend.

The Financial Daily | Jisarat Urdu

 

Dated:24 October 2013

POAMCL: Notice of Book Closure.

The Financial Daily | Jisarat Urdu

 

Dated:08 October 2013

POAMCL: Notice of Book Closure.

The Financial Daily | Jisarat Urdu

 

Dated:04 July 2013
Dividend Declared: This is to inform you that the Board of Directors of Pak Oman Asset Management Company Limited (POAMCL), in its meeting held on Wednesday, July 04, 2013 at 02:00 p.m, in Karachi, has approved the following dividend on POAMCL Funds:

FUND
Dividend Declared
Pak Oman Government Securities Fund – (POGSF)
Rs. 0.1433/- per unit of par value Rs. 10/-
Pak Oman Islamic Asset Allocation Fund – (POIAAF)
Rs. 10.18/- per unit of par value Rs. 50/-
Pak Oman Advantage Asset Allocation Fund – (POAAAF)
Rs. 15.18/- per unit of par value Rs. 50/-
Pak Oman Advantage Islamic Income Fund – (POAIIF)
Rs. 0.4128/- per unit of par value Rs. 50/-

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders as on June 28, 2013.

Should you have any queries or concerns, please feel free to contact us our PABX # +9221-35361465 – 68, Fax - +9221-35361469 or you may email us at info@pakomanfunds.com.

Dated:14 June 2013

POAMCL: Notice of Book Closure.

The Financial Daily | Jisarat Urdu

Dated:27 April 2013
Dividend Declared: This is to inform you that the Board of Directors of Pak Oman Asset Management Company Limited (POAMCL), in its meeting held on April 27, 2013 at Karachi-Pakistan, has approved the following dividend on POAMCL Funds:

FUND
Dividend Declared
Pak Oman Government Securities Fund – (POGSF)
Rs. 0.1702/- per unit of par value Rs. 10/-
Pak Oman Advantage Islamic Income Fund – (POAIIF)
Rs. 0.9565/- per unit of par value Rs. 50/-

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders as on April 24, 2013.

Should you have any queries or concerns, please feel free to contact us our PABX # +9221-35361465 – 68, Fax - +9221-35361469 or you may email us at info@pakomanfunds.com.

Dated:13 April 2013

POAMCL: Notice of Book Closure.

The Financial Daily | Jisarat Urdu

Dated:05 February 2013
Dividend Declared: This is to inform you that the Board of Directors of Pak Oman Asset Management Company Limited (POAMCL), in its meeting held on February 05, 2013 at Muscat-Oman, has approved the following dividend on POAMCL Funds:

FUND
Dividend Declared
Pak Oman Government Securities Fund – (POGSF)
Rs. 0.2189/- per unit of par value Rs. 10/-
Pak Oman Advantage Islamic Income Fund – (POAIIF)
Rs. 1.0465/- per unit of par value Rs. 50/-

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders as on February 01, 2013.

Should you have any queries or concerns, please feel free to contact us our PABX # +9221-35361465 – 68, Fax - +9221-35361469 or you may email us at info@pakomanfunds.com.

Dated:22 January 2013

POAMCL: Notice of Book Closure.

The Financial Daily | Jisarat Urdu

Dated:06 December 2012

Pak Oman Advantage Fund: Notice for Dispatch of Final Dividend.

The Financial Daily | Jisarat Urdu

Dated:05 December 2012

Pak Oman Advantage Fund: Postponement of Meeting of Certificate Holders. Letter attched below:

POAF_Letter_to_KSE_S-65_NBFC-Regulations

Dated:15 October 2012
Dividend Declared: This is to inform you that the Board of Directors of Pak Oman Asset Management Company Limited (POAMCL), in its meeting held on October 15, 2012 at Muscat-Oman, has approved the following dividend on POAMCL Funds:

FUND
Dividend Declared
Pak Oman Government Securities Fund – (POGSF)
Rs. 0.3204/- per unit of par value Rs. 10/-
Pak Oman Advantage Islamic Income Fund – (POAIIF)
Rs. 0.9002/- per unit of par value Rs. 50/-

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders as on October 12, 2012.

Should you have any queries or concerns, please feel free to contact us our PABX # +9221-35361465 – 68, Fax - +9221-35361469 or you may email us at info@pakomanfunds.com.

______________________________________________________


Dated:04 October 2012
POAMCL: Notice of Book Closure.
The Financial Daily
| Jisarat Urdu
____________________________________________________

Dated:04 Junly 2012
Dividend Declared: This is to inform you that the Board of Directors of Pak Oman Asset Management Company Limited (POAMCL), in its meeting held on July 04, 2012 at 11:00am, in Karachi Pakistan, has approved the following dividend on POAMCL Funds:

FUND
Dividend Declared
Pak Oman Government Securities Fund – (POGSF)
Rs. 0.1755/- per unit of par value Rs. 10/-
Pak Oman Islamic Asset Allocation Fund – (POIAAF)
Rs. 5.84/- per unit of par value Rs. 50/-
Pak Oman Advantage Islamic Income Fund – (POAIIF)
Rs. 0.7128/- per unit of par value Rs. 50/-

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders as on June 29, 2012.

______________________________________________________

Dated:23 June 2012
POAMCL: Revised Notice of Book Closure
____________________________________________________


Dated:20 June 2012
POAMCL: Notice of Book Closure
____________________________________________________

Dated:15 June 2012
POAMCL: Disclosure regarding tentative date of meeting of certificate holders of POAF under clause 65 of NBFC & NE Regulations,2008
____________________________________________________

Dated:13 June 2012
The Finanacial Daily : Change of Trustee -POAMCL Funds .____________________________________________________

Dated:30 April 2012
Dividend Declared:This is to inform you that the Board of Directors of Pak Oman Asset Management Company Limited (POAMCL), in its meeting held on April 28, 2012 at Muscat-Oman, has approved the following dividend on POAMCL Funds:

FUND
Dividend Declared
Pak Oman Advantage Islamic Income Fund – (POAIIF)
Rs. 1.3221/- per unit of par value Rs. 50/-
Pak Oman Government Securities Fund – (POGSF)
Rs. 0.2487 /- per unit of par value Rs. 10/-

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders as on April 27, 2012.
______________________________________________________


Dated:20 April 2012
The Finanacial Daily : Notice of Book closure of POAIIF & POGSF.
______________________________________________________

Dated:08 February 2012
Disclosure of conversion or cancellation or winding up of Close End Scheme as per NBFC and Notified Entity Regulations 2008
______________________________________________________

Dated:02 February 2012
Dividend Declared:This is to inform you that the Board of Directors of Pak Oman Asset Management Company Limited (POAMCL), in its meeting held on 01-Feb-2012 at Muscat-Oman, has approved the following dividend on POAMCL Funds:

FUND
Dividend Declared
Pak Oman Advantage Islamic Income Fund – (POAIIF)
Rs. 1.2965/- per unit of par value Rs. 50/-
Pak Oman Government Securities Fund – (POGSF)
Rs. 0.23/- per unit of par value Rs. 10/-

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders as on January 30, 2012.
______________________________________________________

Dated:16 January 2011
The Finanacial Daily : Notice of Book closure of POAIIF & POGSF
______________________________________________________

Dated:31 October 2011
Dividend Declared: The Board of Directors of Pak Oman Asset Management Company Limited, in its meeting held on October 26, 2011, has approved the following dividend on POAMCL Funds:

FUND
Dividend Declared
Pak Oman Advantage Islamic Income Fund – (POAIIF)
Rs. 1.0275/- per unit of par value Rs. 50/-
Pak Oman Government Securities Fund – (POGSF)
Rs. 0.2566/- per unit of par value Rs. 10/-

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders as on September 30, 2011.


Dated:27 October 2011
The Finanacial Daily : Pak Oman Advantage Fund (POAF) Dispatch of Final Dividend Warrants for POAF.

Dated:19 October 2011
The Finanacial Daily : Notice of Book closure of POAIIf & POGSF

Dated:19 October 2011
Jisarat (Urdu): Notice of Book closure of POAIIf & POGSF

Dated:19 September 2011
The Finanacial Daily : Notice of Book closure

Dated:19 September 2011
Jisarat (Urdu): Notice of Book closure

Dated:15 September 2011
PACRA Rankings for Two Funds

PACRA assigns star rankings to funds of Pak Oman Asset Management Company Limited (period ended June 30,2011).

FUND
Star Ranking
Pak Oman Islamic Asset AllocationFund (Fomerly Pak Oman Advantage Islamic Fund)
Pak Oman Advantage Asset Allocation Fund
(Formerly Pak Oman Advantage Stock Fund)

  For more detail click here




  Dated:7 July 2011
  Dividend Declared

The Board of Directors of Pak Oman Asset Management Company Limited has declared the dividend of following funds:


Rs. 1.9777/- per unit of par value Rs. 50/-
for Pak Oman Advantage Islamic Income Fund – POAIIF.

Rs. 11.13/- per unit of par value Rs. 50/-
for Pak Oman Islamic Asset Allocation Fund – POIAAF.
(formerly Pak Oman Advantage Islamic Fund)

Rs. 7.31/- per unit of par value Rs. 50/-
for Pak Oman Advantage Islamic Income Fund – POAAAF.
(formerly Pak Oman Advantage Stock Fund) ,

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders as on June 30, 2011. For more information

Click Here


Dated:17 June 2011
The Finanacial Daily : Notice of Book closure

Dated:17 June 2011
Jisarat (Urdu): Notice of Book closure

Dated:06 April 2011
Dividend Declared
The Board has declared a dividend of Rs. 1.7813 per unit of par value Rs. 50/- for Pak Oman Advantage Islamic Income Fund – POAIIF.

Unit holders who have opted for growth units will get 3.4921 units for every 100 units on the ex-dividend NAV of Rs. 51.0096 the proportionate shall apply to actual holding. Unit Holders who have opted for income units will receive cash payment accordingly.

The unit holders whose name appeared in the register of unit holders as on April 02, 2011 will be entitled for the dividend.


Dated:25 March 2011
The Finanacial Daily & Jissarat (Urdu):
Notice of Book closure -Pak Oman Advantage Islamic Income Fund.

Dated:18 March 2011
POAMCL:
Pak Oman Asset Management Company Limited (POAMCL) & MCB Financial Services Limited (MCBFSL) have signed a trust deed with MCBFSL acting as trustee for POAMCL’s two upcoming funds: Pak Oman Cash Fund (POCF) and Pak Oman Government Securities Fund (POGSF).

Dated:01 March 2011
The Finanacial Daily:
Notice for the Placement of the Half Yearly Financial Accounts 2010 on the website.

Dated:01 March 2011
Jisarat (Urdu):
Notice for the Placement of the Half Yearly Financial Accounts 2010 on the website.

Dated:03 December 2010
The Finanacial Daily:
Notice of Amendment in Offering Documents

Dated:03 December 2010
Jisarat (Urdu) :
Notice of Amendment in Offering Documents

Dated:03 November 2010
The Finanacial Daily : Dispatch of final dividend warrants for Pak Oman Advantage Fund (POAF)

Dated:03 November 2010
Jisarat (Urdu) : Dispatch of final dividend warrants for Pak Oman Advantage Fund (POAF)

Dated:24 September 2010
The Finanacial Daily : Notice of Book Closure (POAIIF)

Dated:24 September 2010
Jisarat (Urdu): Notice of Book Closure (POAIIF)

Dated:09 September 2010
The Finanacial Daily : Notice of Book Closure (POAF)

Dated:09 September 2010
Jisarat (Urdu): Notice of Book Closure (POAF)

Dated:01 September 2010
The Finanacial Daily : POAMCL Assists disaster struck families

Dated:01 September 2010
POAMCL : Flood relief campaign

Dated:24 June 2010
The Finanacial Daily : Notice of Book Closure

Dated:24 June 2010
Jisarat (Urdu): Notice of Book Closure

Dated:21 April 2010
Dividend Declared - Pak Oman Advantage Islamic Income Fund - POAIIF

The Board of Directors of Pak Oman Asset Management Company Limited has declared the dividend of Rs. 0.10/- per unit for Pak Oman Advantage Islamic Income Fund – POAIIF.

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders as on April 16, 2010.


Dated:13 April 2010
POAMCL : Notice of Book Closure – POAIIF.

Dated:31 March 2010
The Financial Daily : Notice for Unit / Certificate Holders.

Dated:31 March 2010
Express News: Notice for Unit / Certificate Holders.

Dated: 18 November 09
POAMCL : POAMCL participated in OMAN National Day held at Sheraton on 18th Nov 09 seen in the picture POAMCL Team Members.

Dated:07 July 09
The Financial Daily : Dividend Declared.

Dated:06 July 09
Dividend Declared

The Board of Directors of Pak Oman Asset Management Company Limited has declared the dividend of its following funds: ‘POBOP Advantage Plus Fund’ an open end fixed income scheme, for the year ended June 30, 2009; ‘Pak Oman Advantage Islamic Fund’, ‘Pak Oman Advantage Stock Fund’ and ‘Pak Oman Advantage Islamic Income Fund’, open end schemes, for the period from October 30, 2008 to June 30, 2009.

The Board has declared a dividend of Rs. 9.6869/- per unit of par value Rs. 50/- for POASF, a dividend of Rs. 4.2043/- per unit of par value Rs. 50/- for POAIF, a dividend of Rs. 4.0531/- per unit of par value Rs. 50/- for POAIIF and a dividend of Rs. 0.1850/- per unit of par value Rs. 50/- for POBOP.

The above entitlement will be paid to the unit holders whose name appeared in the register of unit holders on 30 June 2009.

Previous News releases

 
 
 
 
   
















Links MUFAB
Privacy Policy | Disclaimer |
Copyright ©2017 Pak Oman Asset Managment Limited. All rights reserved.