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Daily Prices

FUND NAMEAPPLICABLE DATEOFFERREDEMPTIONNAVTER-WLTER-WOLMFRFTFL&TTCTPEOEFL/BL/CLPayout perunit
Atlas Liquid Fund30-Sep-2026517.3843517.3843517.38430.540.400.3500.07500.05500.0630--0.0100---
Atlas Money Market Fund29-Sep-2026528.8030528.8030528.80300.460.340.2800.07500.05500.0510-----
Atlas Income Fund29-Sep-2026546.0922546.0922546.09220.570.430.3500.07500.07500.0640-----
Atlas Stock Market Fund29-Sep-20262045.50242045.50242045.50243.853.263.0000.09500.10200.49300.1700----
Atlas Islamic Money Market Fund29-Sep-2026521.1864521.1864521.18640.250.160.1000.07500.05500.0240-----
Atlas Islamic Cash Fund29-Sep-2026516.9616516.9616516.96160.370.250.2000.07500.05500.0380-----
Atlas Dividend Yield Fund29-Sep-202693.226793.226793.22673.753.173.0000.09500.17300.4780-----
Atlas Financial Sector Fund29-Sep-202696.805696.805696.80563.783.203.0000.09500.20100.4830-----
Atlas Islamic Building Materials Fund29-Sep-202699.594099.594099.59403.783.203.0000.09500.20100.4830-----
Atlas Islamic Energy Fund29-Sep-2026106.1347106.1347106.13474.724.043.0000.09500.19200.58400.8500----
Atlas Islamic Income Fund29-Sep-2026530.0366530.0366530.03660.510.380.3000.07500.07700.0600-----
Atlas Islamic Stock Fund29-Sep-20261496.06961496.06961496.06963.873.283.0000.09500.10800.49400.1700----
Atlas Sovereign Fund29-Sep-2026105.9027105.9027105.90270.540.410.3500.07500.05500.0610-----
Atlas Islamic Dedicated Stock Fund29-Sep-20261536.68101536.68101536.68103.823.243.0000.09500.20100.4880-0.0400---
Atlas Aggressive Allocation Islamic Plan29-Sep-20261417.86141417.86141417.86140.230.120.0600.08500.07000.0190-----
Atlas Moderate Allocation Islamic Plan29-Sep-20261217.91151217.91151217.91150.230.130.0600.08500.07000.0190-----
Atlas Conservative Allocation Islamic Plan29-Sep-2026948.7413948.7413948.74130.230.130.0600.08500.07000.0190-----
Equity Sub Fund29-Sep-2026--2409.25002.251.921.5000.04000.11040.28800.3100----
Debt Sub Fund29-Sep-2026--681.99000.420.330.2300.04000.10980.0490--0.0100---
Money Market Sub Fund29-Sep-2026--633.72000.350.270.1800.04000.10960.0400--0.0300---
Equity Sub Fund29-Sep-2026--2617.86001.921.641.5000.04000.10880.24300.0400-0.0100---
Debt Sub Fund29-Sep-2026--498.63000.410.330.2000.04000.10880.0440-0.0200---
Money Market Sub Fund29-Sep-2026--527.15000.320.250.1500.04000.10810.0350--0.0100---
Money Market Sub Fund29-Sep-2026--143.21450.250.180.0200.04000.15000.0220-0.0100---
Money Market Sub Fund29-Sep-2026--109.79780.390.39-0.04000.1370--0.2100---
Money Market Sub Fund29-Sep-2026--110.39600.39--0.04000.1360--0.2100---
Money Market Sub Fund29-Sep-2026--100.42620.160.16-----0.1700---
Money Market Sub Fund29-Sep-2026--100.42630.160.16-----0.1700---
TER-WL: TER with Levies | TER-WOL: Total TER without Levies | MF: Management Fee | RF: Regulatory Fee | TF: Trustee Fee and Custody Charges | L&T: Levies and Taxes | TC: Transaction Expenses (Broker, Bank, PSX, CDC, NCCPL etc.) | TPE: Third Party Expenses (Auditor, Rating Agency, Legal, Shariah Advisor) | OE: Other Expenses | FL/BL/CL: Front-end Load, Back-end Load, Contingent Load

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News & Highlights

Meeting of the Board of Directors of Atlas Asset Management Limited
Meeting of the Board of Directors of Atlas Asset Management Limited amp; - August 28, 2026 Read More
Notice of Announcement ASMF, AISF, AFSF, AIEF, ADYF, AIBMF, AAAIP, AMAIP & ACAIP
Notice of Announcement ASMF, AISF, AFSF, AIEF, ADYF, AIBMF, AAAIP, AMAIP & ACAIP amp; - June 24, 2026 Read More
Meeting of the Board of Directors for Distribution of Funds
Meeting of the Board of Directors for Distribution of Funds amp; - June 24, 2026 Read More
Notice of Announcement of Book Closure
Notice of Announcement of Book Closure - June 24, 2026 Read More
Announcement of Interim Distribution AIIF, AICF, AIF & AIDSF
Announcement of Interim Distribution AIIF, AICF, AIF & AIDSF - June 22, 2026 Read More
Notice of Announcement of Interim Distribution AIIF, AICF, AIF & AIDSF (Meeting in progress)
Notice of Announcement of Interim Distribution AIIF, AICF, AIF & AIDSF (Meeting in progress) - June 22, 2026 Read More
Notice of Announcement of Interim Distribution ASMF, AISF, AFSF, ADYF, AIEF, AIBMF & AIFOF
Notice of Announcement of Interim Distribution ASMF, AISF, AFSF, ADYF, AIEF, AIBMF & AIFOF - June 22, 2026 Read More