Mutual Funds Association of Pakistan (MUFAP) is the trade body for Pakistan's multi billion rupees asset management industry. The money our members manage is in a wide variety of investment vehicles including stocks, bonds, money market instruments, government securities and bank deposits. Our role is to ensure transparency, high ethical conduct and growth of the mutual fund industry.
NAV Returns Performance Summary Report

    Open End Schemes Dedicated Equity Funds Voluntary Pension Funds Exchange Traded Fund (ETF) KP Govt Employees Pension Funds

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    To rank the funds on the basis of return, please click on the column headings of each period.
    Report Date: Saturday 20 April, 2024 01 : 58 : 28 AM
    VPS-Money Market
    * Fund Name Validity Date NAV * YTD MTD 1 Day 15 Days 30 Days 90 Days 180 Days 270 Days 365 Days
    ABL Pension FundApr 18, 2024220.147522.7118.9821.8018.7018.8618.9522.2722.4822.69
    AL Habib Pension FundApr 08, 2024137.332022.5020.3418.5318.4917.7320.8321.3822.3922.41
    Alfalah GHP Pension FundApr 19, 2024195.948321.5320.2419.8319.9219.4618.7920.2321.3921.91
    Atlas Pension FundApr 19, 2024462.480022.5120.9521.3220.3719.8119.5521.1922.2822.88
    Faysal Pension FundApr 18, 2024140.721719.6119.6321.2019.0118.4018.4419.2019.5719.56
    HBL Pension FundApr 19, 2024284.845521.3418.5619.4117.6917.8018.4320.0821.2021.56
    JS Pension Savings FundApr 19, 2024379.530022.1320.9320.2120.4319.4119.1320.8221.9322.42
    NAFA Pension FundApr 19, 2024261.505321.5220.3319.9119.8619.3218.9620.3821.3421.83
    NIT Pension FundApr 19, 202422.340621.5420.8820.4320.5119.8419.2220.7321.3321.85
    Pakistan Pension FundApr 19, 2024426.110022.2019.7218.8519.1718.7618.8321.0521.9922.41
    UBL Retirement Saving FundApr 18, 2024331.207721.4019.8421.4019.2119.1219.2120.3521.2121.81
    VPS-Debt
    * Fund Name Validity Date NAV * YTD MTD 1 Day 15 Days 30 Days 90 Days 180 Days 270 Days 365 Days
    ABL Pension FundApr 18, 2024282.290524.5317.4222.5116.9516.7219.7423.4524.5424.63
    AL Habib Pension FundApr 08, 2024138.430223.0820.2317.9119.0718.3319.3621.2823.0123.11
    Alfalah GHP Pension FundApr 19, 2024188.299619.7619.186.6116.6216.3315.0419.3519.8219.81
    Atlas Pension FundApr 19, 2024491.390022.7321.2719.3219.9719.2218.7120.9922.5422.95
    Faysal Pension FundApr 18, 2024137.654318.5516.821.8017.8413.6113.1316.9618.3218.93
    HBL Pension FundApr 19, 2024328.618022.2515.0917.6113.9614.4915.1320.2322.1022.58
    JS Pension Savings FundApr 19, 2024459.290021.4721.4019.0820.5717.5217.8420.5421.2622.21
    NAFA Pension FundApr 19, 2024300.072221.8819.7717.9018.0917.3117.1419.8921.5022.20
    NIT Pension FundApr 19, 202422.446419.9419.1219.2018.2818.4117.4617.9321.4819.17
    Pakistan Pension FundApr 19, 2024480.950022.6417.4910.6315.0714.6415.1721.5422.3622.74
    UBL Retirement Saving FundApr 18, 2024417.798422.0821.4518.8021.4919.4317.4021.1221.8223.21
    VPS-Commodities / Gold
    * Fund Name Validity Date NAV * YTD MTD 1 Day 15 Days 30 Days 90 Days 180 Days 270 Days 365 Days
    NIT Pension FundApr 18, 202427.904331.485.440.593.048.5015.7821.9127.7130.39
    UBL Retirement Saving FundApr 17, 2024219.900521.345.60(0.78)3.579.2117.5018.4218.9718.09
    VPS-Equity
    * Fund Name Validity Date NAV * YTD MTD 1 Day 15 Days 30 Days 90 Days 180 Days 270 Days 365 Days
    ABL Pension FundApr 18, 2024255.994372.984.28(0.14)3.186.1210.0238.3654.4773.79
    AL Habib Pension FundApr 08, 2024186.765480.985.162.267.516.6416.7353.5865.5283.41
    Alfalah GHP Pension FundApr 19, 2024136.397774.045.491.124.037.2811.5540.2556.6074.74
    Atlas Pension FundApr 19, 2024969.800076.654.920.893.256.849.9440.5958.7375.94
    Faysal Pension FundApr 18, 2024153.004270.675.35(0.16)3.986.338.5534.5351.2768.15
    HBL Pension FundApr 19, 2024477.238158.284.031.001.875.425.7729.4146.3256.58
    JS Pension Savings FundApr 19, 2024707.810069.276.101.243.997.9911.0041.8254.2168.06
    NAFA Pension FundApr 19, 2024537.555366.764.230.973.296.547.9035.9148.9568.40
    NIT Pension FundApr 19, 202414.533470.275.880.983.987.4211.5736.9450.1968.66
    Pakistan Pension FundApr 19, 2024848.180072.395.020.633.237.398.7540.3756.8075.33
    UBL Retirement Saving FundApr 18, 20241247.180069.334.720.053.726.278.0836.7250.5872.19
    VPS-Shariah Compliant Money Market
    * Fund Name Validity Date NAV * YTD MTD 1 Day 15 Days 30 Days 90 Days 180 Days 270 Days 365 Days
    ABL Islamic Pension FundApr 18, 2024182.562019.6917.6413.0017.0416.9515.6218.5019.7919.38
    AL Habib Islamic Pension FundApr 08, 2024131.589421.9517.8720.2316.9318.3717.5019.5121.8921.01
    Al Ameen Islamic Retirement Savings FundApr 19, 2024282.709220.9318.6517.8618.5819.0218.9619.8220.8220.92
    Alfalah GHP Islamic Pension FundApr 19, 2024172.450320.0717.2917.3916.5118.6018.0018.5919.9920.30
    Alhamra Islamic Pension FundApr 19, 2024323.340021.8717.3316.9417.1317.6417.9420.5621.9121.76
    Atlas Pension Islamic FundApr 19, 2024395.630021.7219.0817.5418.7819.0218.6220.8921.6621.96
    Faysal Islamic Pension FundApr 18, 2024143.081321.7118.4317.7418.3518.1916.0919.2121.5621.82
    HBL Islamic Pension FundApr 19, 2024251.517622.2320.0019.6320.7119.5216.8620.3122.1222.15
    JS Islamic Pension Savings FundApr 19, 2024322.000021.9217.9418.1517.9717.6317.9520.1922.1021.69
    Meezan Tahaffuz Pension FundApr 19, 2024398.992121.7219.0620.1020.6718.9918.5320.8521.6321.72
    NAFA Islamic Pension FundApr 19, 2024236.491621.4017.8921.4818.7018.0317.4120.1021.3121.41
    NIT Islamic Pension FundApr 19, 202420.159321.0618.1717.0318.2218.2618.8920.7920.9621.56
    Pak Qatar Islamic Pension FundApr 19, 2024126.102820.0016.2216.5615.8817.3514.6117.6819.9319.93
    VPS-Shariah Compliant Debt
    * Fund Name Validity Date NAV * YTD MTD 1 Day 15 Days 30 Days 90 Days 180 Days 270 Days 365 Days
    ABL Islamic Pension FundApr 18, 2024183.297020.0116.6117.9316.0717.3515.2419.4420.1119.63
    AL Habib Islamic Pension FundApr 08, 2024134.017223.8617.7318.1517.8318.1419.0619.7823.6123.37
    Al Ameen Islamic Retirement Savings FundApr 19, 2024292.688321.5816.5721.7116.3617.4218.0620.4021.3321.53
    Alfalah GHP Islamic Pension FundApr 19, 2024164.606716.017.07(2.28)7.499.6714.2716.2915.7916.14
    Alhamra Islamic Pension FundApr 19, 2024350.810020.5816.6816.6516.7616.7717.2619.5220.4820.59
    Atlas Pension Islamic FundApr 19, 2024368.680021.3918.8916.8418.4918.4918.4620.5521.3921.53
    Faysal Islamic Pension FundApr 18, 2024141.228920.7827.0216.7819.2422.9918.3619.2620.6220.62
    HBL Islamic Pension FundApr 19, 2024258.690922.1620.2822.7621.8920.1517.2220.6922.2721.93
    JS Islamic Pension Savings FundApr 19, 2024347.180020.2416.8017.8816.7316.7717.3121.3820.4620.66
    Meezan Tahaffuz Pension FundApr 19, 2024405.166220.1918.5720.2318.5918.2918.3220.3320.1220.28
    NAFA Islamic Pension FundApr 19, 2024231.530821.3418.1521.4818.5618.2117.8620.2021.2621.47
    NIT Islamic Pension FundApr 19, 202420.144822.3318.9015.0418.8718.8519.1622.6722.2922.45
    Pak Qatar Islamic Pension FundApr 19, 2024126.792220.6915.8616.3315.8517.3016.1518.5120.1120.60
    VPS-Shariah Compliant Commodities / Gold
    * Fund Name Validity Date NAV * YTD MTD 1 Day 15 Days 30 Days 90 Days 180 Days 270 Days 365 Days
    Meezan Tahaffuz Pension FundApr 18, 2024309.47615.760.860.701.834.8310.2613.517.1810.80
    VPS-Shariah Compliant Equity
    * Fund Name Validity Date NAV * YTD MTD 1 Day 15 Days 30 Days 90 Days 180 Days 270 Days 365 Days
    ABL Islamic Pension FundApr 18, 2024275.500465.924.17(0.34)2.835.939.6339.4151.6063.94
    AL Habib Islamic Pension FundApr 08, 2024187.332678.665.842.118.617.0015.3453.5462.4881.10
    Al Ameen Islamic Retirement Savings FundApr 19, 20241156.666364.144.511.022.646.087.3535.8448.0560.71
    Alfalah GHP Islamic Pension FundApr 19, 2024144.128575.365.431.163.587.7612.8843.5760.5571.87
    Alhamra Islamic Pension FundApr 19, 2024902.340070.684.990.773.087.729.4741.3856.1570.39
    Atlas Pension Islamic FundApr 19, 20241177.880076.884.661.162.807.2310.9442.9460.1473.26
    Faysal Islamic Pension FundApr 18, 2024156.317070.884.47(0.73)3.236.197.8634.8751.0867.17
    HBL Islamic Pension FundApr 19, 2024527.795262.167.461.115.118.467.1231.6347.7557.44
    JS Islamic Pension Savings FundApr 19, 2024973.420066.435.091.083.016.377.6638.6951.1162.83
    Meezan Tahaffuz Pension FundApr 19, 2024815.868667.694.680.943.116.317.9938.6753.4968.90
    NAFA Islamic Pension FundApr 19, 2024515.130462.133.440.992.155.987.4635.6647.6459.87
    NIT Islamic Pension FundApr 19, 202415.665867.245.581.033.387.2911.6637.8750.4460.90
    Pak Qatar Islamic Pension FundApr 19, 2024155.477743.354.710.832.696.3410.5334.6941.7447.88

    * Annualized Return

    * For Funds launched after July 1, the return is since inception (launch date) of the fund.