JS Investments Limited

JS Fund of Funds

Fund of Funds · Conventional · Public scheme

NAV: PKR 145.7675 per unit · 8 Oct 2026

Prices and charges

JS Fund of Funds is reported by JS Investments Limited in the Fund of Funds category. A purchase uses the provider’s applicable offer price; redemption uses its applicable repurchase price. NAV alone does not establish the price you receive after charges.

Dated prices and fees for JS Fund of Funds
MeasureReported valueOfficial period
NAV (PKR/unit)145.76758 Oct 2026
Offer (PKR/unit)150.88 Oct 2026
Repurchase (PKR/unit)145.76758 Oct 2026
Front load0%8 Oct 2026
Back load0%8 Oct 2026
Contingent load0%8 Oct 2026
TER YTD0.36%9 Oct 2026
Management fee1%9 Oct 2026
Reported AUM (PKR)2,076,830,0001 Sept 2026
RatingNot reported9 Oct 2026

Reported historical returns

Validity: 9 Oct 2026. Basis: absolute return, as labeled by MUFAP.

1 day
-0.1%
15 days
-0.72%
30 days
-0.87%
90 days
-2.4%
180 days
0.71%
270 days
3.05%
365 days
5.99%
2 years
31.62%
3 years
113.11%

Reading JS Fund of Funds's prices and fees

JS Fund of Funds is reported by MUFAP under Fund of Funds, managed by JS Investments Limited. The pricing observation is dated 8 Oct 2026. NAV describes the reported net asset value per unit; it is not necessarily the amount an investor pays to enter or receives on redemption.

The reported offer value of PKR 150.8 and repurchase value of PKR 145.7675 differ by PKR 5.0325 per unit on that date. This is offer minus repurchase, not a promised trading spread or an investor-specific charge. Confirm the applicable cutoff time, pricing convention and settlement terms with the provider. Do not automatically add the displayed load percentages to this difference; the quoted prices may already reflect some charges.

The reported year-to-date total expense ratio is 0.36%, dated 9 Oct 2026. TER is a fund expense measure, not a separate annual invoice calculated by this page. Management fees can be a component of expenses, so adding TER and management fee can double-count costs. Taxes, distribution treatment and any investor-specific concessions are outside these figures.

Category evidence and limitations

The comparison below uses only Fund of Funds observations with the same stated return basis and performance validity date. Sample counts can differ by horizon. A missing figure is excluded from its sample, and no value is reconstructed.

absolute basis · 9 Oct 2026. Reported history, not an expected return.
HorizonFundCategory medianSample
30 days-0.87%Insufficient matching observations1
365 days5.99%Insufficient matching observations1
3 years113.11%Insufficient matching observations1

Risks before using these figures

Read the offering document for the underlying assets, concentration limits, redemption restrictions and circumstances in which unit values can fall. A category label alone does not establish suitability.

Public eligibility does not confirm that a particular investor meets every provider requirement. Check the provider’s disclosures for the fund’s current investment mandate. Payouts can reduce NAV without representing an equivalent total-return loss. The NAV chart therefore stays separate from MUFAP-reported performance.

Verified NAV history

74 observations from 1 Jul 2026 to 8 Oct 2026. Unit-price history excludes reinvested payouts and is not a total-return chart.

View numeric history
DateNAV (PKR/unit)
1 Jul 2026149.66
2 Jul 2026149.98
3 Jul 2026150.37
4 Jul 2026150.37
5 Jul 2026150.36
6 Jul 2026151.22
7 Jul 2026150.66
8 Jul 2026149.07
9 Jul 2026148.85
10 Jul 2026149.19
11 Jul 2026149.19
12 Jul 2026149.19
13 Jul 2026148.38
14 Jul 2026146.08
15 Jul 2026146.86
16 Jul 2026147.8
17 Jul 2026146.99
18 Jul 2026146.99
19 Jul 2026146.99
20 Jul 2026147.15
21 Jul 2026147.15
22 Jul 2026146.64
23 Jul 2026145.6
24 Jul 2026145.38
25 Jul 2026145.37
26 Jul 2026145.37
27 Jul 2026148.08
28 Jul 2026147.89
29 Jul 2026147.29
30 Jul 2026147.15
31 Jul 2026147.34
1 Aug 2026147.33
2 Aug 2026147.33
3 Aug 2026148.23
4 Aug 2026147.68
5 Aug 2026148.65
6 Aug 2026149.28
7 Aug 2026149.13
8 Aug 2026149.13
9 Aug 2026149.13
10 Aug 2026149.1
11 Aug 2026148.61
12 Aug 2026148.8
13 Aug 2026148.75
14 Aug 2026148.75
15 Aug 2026148.75
16 Aug 2026148.75
17 Aug 2026149.06
18 Aug 2026148.31
19 Aug 2026148.1
20 Aug 2026148.01
21 Aug 2026148.3245
22 Aug 2026148.3231
23 Aug 2026148.3216
24 Aug 2026148.5337
25 Aug 2026148.6965
26 Aug 2026148.6951
27 Aug 2026148.3517
28 Aug 2026148.3271
29 Aug 2026148.3256
30 Aug 2026148.3242
31 Aug 2026148.09
1 Sept 2026147.9542
2 Sept 2026147.3971
3 Sept 2026147.6242
4 Sept 2026147.9199
7 Sept 2026147.3848
8 Sept 2026147.1588
9 Sept 2026146.8875
10 Sept 2026145.8472
14 Sept 2026145.5211
18 Sept 2026146.6625
25 Sept 2026146.7676
8 Oct 2026145.7675

Reported distributions

DatePKR per unitEx-NAV
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32
27 Jun 20251133.32

Source trail

How to read this research

Reported returns describe a past period. Fees, redemption timing, portfolio concentration and changes in market prices affect your outcome. A fund’s category and Shariah classification are publisher descriptions, not a guarantee of capital or a personal suitability assessment. Confirm current terms in the AMC’s offering documents before transacting.

Each module keeps its own official date. Missing values remain unreported. Temporary source delays retain the last verified observation. NAV charts show unit prices and do not reconstruct reinvested distributions or total returns.

Methodology oversight: Aden Ali, Chief Economist, Sahulat Capital, an internal reviewer. Educational research only; no personal investment, tax, legal or Shariah advice.