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ATCSLGF

All Eps Dividend Board Agm Q1 Q2 Q3

ATCSLGF 14-Nov-2021

On the close of operation on November 11, 2021, the Fund has reported Net Asset Value (NAV) of Tk. 11.63 per unit on the basis of current market price and Tk. 10.95 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. 718,464,120.00 on the basis of current market price and Tk. 676,410,266.00 on the basis of cost price after considering all assets and liabilities of the Fund.

ATCSLGF 07-Nov-2021

On the close of operation on November 04, 2021, the Fund has reported Net Asset Value (NAV) of Tk. 11.57 per unit on the basis of current market price and Tk. 10.95 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. 714,722,655.00 on the basis of current market price and Tk. 676,698,991.00 on the basis of cost price after considering all assets and liabilities of the Fund.

ATCSLGF 31-Oct-2021

On the close of operation on October 28, 2021, the Fund has reported Net Asset Value (NAV) of Tk. 11.77 per unit on the basis of current market price and Tk. 10.95 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. 727,461,506.00 on the basis of current market price and Tk. 676,376,364.00 on the basis of cost price after considering all assets and liabilities of the Fund.

ATCSLGF 28-Oct-2021

(Q1 Un-audited): EPU was Tk. 0.28 for July-September 2021 as against Tk. (0.22) for July-September 2020; NOCFPU was Tk. 0.26 for July-September 2021 as against Tk. (0.24) for July-September 2020. NAV per unit at market price was Tk. 12.20 as on September 30, 2021 and Tk. 12.41 as on June 30, 2021. NAV per unit at cost price was Tk. 10.76 as on September 30, 2021 and Tk. 11.99 as on June 30, 2021.

ATCSLGF 26-Oct-2021

As per Regulation 16(1) of the Dhaka Stock Exchange (Listing) Regulations, 2015, the Trustee of Fund has informed that a meeting of the Trustee Committee will be held on October 28, 2021 at 3:00 PM to consider, among others, un-audited financial statements of the Fund for the First Quarter (Q1) period ended on September 30, 2021.

ATCSLGF 24-Oct-2021

On the close of operation on October 21, 2021, the Fund has reported Net Asset Value (NAV) of Tk. 12.01 per unit on the basis of current market price and Tk. 10.86 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. 742,184,742.00 on the basis of current market price and Tk. 671,152,921.00 on the basis of cost price after considering all assets and liabilities of the Fund.

ATCSLGF 17-Oct-2021

On the close of operation on October 14, 2021, the Fund has reported Net Asset Value (NAV) of Tk. 12.21 per unit on the basis of current market price and Tk. 10.75 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. 754,398,213.00 on the basis of current market price and Tk. 664,414,235.00 on the basis of cost price after considering all assets and liabilities of the Fund.

ATCSLGF 10-Oct-2021

On the close of operation on October 7, 2021, the Fund has reported Net Asset Value (NAV) of Tk. 12.30 per unit on the basis of current market price and Tk. 10.76 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. 759,828,206.00 on the basis of current market price and Tk. 664,689,987.00 on the basis of cost price after considering all assets and liabilities of the Fund.

ATCSLGF 03-Oct-2021

On the close of operation on September 30, 2021, the Fund has reported Net Asset Value (NAV) of Tk. 12.20 per unit on the basis of current market price and Tk. 10.76 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. 753,543,830.00 on the basis of current market price and Tk. 664,878,241.00 on the basis of cost price after considering all assets and liabilities of the Fund.

ATCSLGF 30-Sep-2021

The Asset Manager of the Fund has informed that it has disbursed Cash Dividend for the year ended on June 30, 2021 to the respective unit holders' Bank Accounts through BEFTN system.

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