Official fund-market evidence

Pakistan mutual funds

NAV, repurchase values, loads, reported returns, expenses, and assets under management from dated MUFAP reports. Missing history remains missing, and categories are compared on their own terms.

Current products
558
Includes restricted schemes
Asset managers
25
Reported AUM subset
PKR 4.39 trillion
504 products · 1 September 2026
Latest fund validity
12 October 2026
Not the scrape timestamp

558 matching products · page 5 of 23. Prices and performance carry separate dates.

Verified Pakistan mutual-fund observations
Fund / AMCCategoryNAV (PKR)ValidityTER YTDReturn basis
Meezan Daily Income Fund (Meezan Sehl Account Plan) (MSHP)Al Meezan Investment Management LimitedShariah Compliant Income51.996810 Oct 20261.95%annualized
Meezan Daily Income Fund (Meezan Super Saver Plan) (MSSP)Al Meezan Investment Management LimitedShariah Compliant Income51.95679 Oct 20261.94%annualized
Meezan Dedicated Equity FundAl Meezan Investment Management Limited · Restricted eligibilityShariah Compliant Dedicated Equity90.62519 Oct 20264.93%absolute
Meezan Dynamic Asset Allocation Fund (Meezan Dividend Yield Plan)Al Meezan Investment Management LimitedShariah Compliant Asset Allocation81.63968 Oct 20264.63%absolute
Meezan Energy FundAl Meezan Investment Management LimitedShariah Compliant Equity65.04898 Oct 20264.38%absolute
Meezan Financial Planning Fund of Funds (Aggressive)Al Meezan Investment Management LimitedShariah Compliant Fund of Funds178.51337 Oct 20260.36%absolute
Meezan Financial Planning Fund of Funds (Conservative)Al Meezan Investment Management LimitedShariah Compliant Fund of Funds126.4237 Oct 20260.28%absolute
Meezan Financial Planning Fund of Funds (MAAP I)Al Meezan Investment Management LimitedShariah Compliant Fund of Funds136.10187 Oct 20260.42%absolute
Meezan Financial Planning Fund of Funds (Moderate)Al Meezan Investment Management LimitedShariah Compliant Fund of Funds144.43257 Oct 20260.36%absolute
Meezan Financial Planning Fund of Funds (Very Conservative Allocation Plan)Al Meezan Investment Management LimitedShariah Compliant Fund of Funds53.92257 Oct 20260.35%absolute
Meezan GOKP Pension FundAl Meezan Investment Management LimitedVPS-Shariah Compliant Money Market148.05259 Oct 20260.88%annualized
Meezan Gold FundAl Meezan Investment Management LimitedShariah Compliant Commodities272.22868 Oct 20262.8%absolute
Meezan Government Securities Fund Plan IAl Meezan Investment Management LimitedShariah Compliant Income51.49728 Oct 20261.89%annualized
Meezan Islamic Asaan Cash FundAl Meezan Investment Management LimitedShariah Compliant Money Market51.47538 Oct 20261.3%annualized
Meezan Islamic FundAl Meezan Investment Management LimitedShariah Compliant Equity155.80418 Oct 20263.98%absolute
Meezan Islamic Government of Balochistan Pension FundAl Meezan Investment Management LimitedVPS-Shariah Compliant Money Market102.30979 Oct 20260.61%annualized
Meezan Islamic Government of Punjab Pension FundAl Meezan Investment Management LimitedVPS-Shariah Compliant Money Market109.87879 Oct 20260.7%annualized
Meezan Islamic Income FundAl Meezan Investment Management LimitedShariah Compliant Income53.46869 Oct 20261.93%annualized
Meezan Paidaar Munafa Plan 34Al Meezan Investment Management LimitedShariah Compliant Fixed Rate / Return51.84836 Oct 20260.7%annualized
Meezan Paidaar Munafa Plan 43Al Meezan Investment Management LimitedShariah Compliant Fixed Rate / Return51.89396 Oct 20260.2%annualized
Meezan Paidaar Munafa Plan 47Al Meezan Investment Management LimitedShariah Compliant Fixed Rate / Return51.54046 Oct 20260.3%annualized
Meezan Paidaar Munafa Plan 48Al Meezan Investment Management LimitedShariah Compliant Fixed Rate / Return51.53636 Oct 20260.2%annualized
Meezan Paidaar Munafa Plan 49Al Meezan Investment Management LimitedShariah Compliant Fixed Rate / Return51.46516 Oct 20260.1%annualized
Meezan Paidaar Munafa Plan 50Al Meezan Investment Management LimitedShariah Compliant Fixed Rate / Return51.05816 Oct 20260.3%annualized
Meezan Paidaar Munafa Plan 52Al Meezan Investment Management LimitedShariah Compliant Fixed Rate / Return50.98376 Oct 20260.2%annualized
Download the dated fund source table (CSV)

Category evidence

Compare like with like

The table uses the median of available reported values inside each MUFAP category. It does not rank money market, income, equity, pension, ETF, and dedicated products as one race.

Category / basis / dateFunds30 days365 days3 years
Shariah Compliant Money Marketannualized · 12 October 2026710.23%n=710.52%n=616.37%n=4
Money Marketannualized · 12 October 2026611.03%n=610.44%n=516.87%n=4
Shariah Compliant Asset Allocationabsolute · 11 October 202610.47%n=13.43%n=128.10%n=1
Incomeannualized · 11 October 2026110.53%n=110.69%n=117.41%n=1
Shariah Compliant Money Marketannualized · 10 October 20261310.61%n=1210.57%n=1016.46%n=9
Money Marketannualized · 10 October 2026410.93%n=410.66%n=316.71%n=3
Shariah Compliant Incomeannualized · 10 October 202649.47%n=49.34%n=415.03%n=4
Exchange Traded Fundabsolute · 10 October 20262-2.50%n=23.52%n=2257.79%n=2
Incomeannualized · 10 October 2026110.12%n=110.30%n=118.13%n=1
VPS-Shariah Compliant Money Marketannualized · 9 October 20264310.29%n=429.95%n=2315.82%n=11
Incomeannualized · 9 October 2026419.36%n=3910.19%n=3817.20%n=30
Shariah Compliant Incomeannualized · 9 October 2026359.51%n=359.34%n=3215.55%n=23
VPS-Money Marketannualized · 9 October 20262610.54%n=2410.57%n=1616.80%n=9
Equityabsolute · 9 October 202625-3.06%n=25-0.66%n=21206.44%n=21
Fixed Rate / Returnannualized · 9 October 2026258.47%n=229.06%n=2Not reportedn=0

What is covered

The universe follows every product in the latest successful MUFAP directory, including open-end funds, ETFs, voluntary pension sub-funds, dedicated funds, employee-restricted products, and other reported plans. Restricted products carry an eligibility warning instead of disappearing from industry totals.

How prices are used

Portfolio units are valued at the verified repurchase price when MUFAP reports it, otherwise NAV. The validity date stays attached. Funds have no intraday quote, expected-return field, forecast, synthetic score, or automatic tax estimate.

How failures behave

Cloudflare pages, malformed tables, duplicate identities, invalid values, date conflicts, and unexplained universe drops fail closed. A failed run leaves the prior verified observations intact. A missing official history produces no reconstructed chart.

Methodology

Fund identity comes from the stable MUFAP FundID. A normalized fund name and asset manager can be used only when the match is unique. Reports carry their source URL, document hash, parser version, report date, and retrieval date. Observations are appended as immutable evidence, so a corrected report creates a new record instead of rewriting an old one.

NAV and sale-load records, standardized performance, expense ratios, and monthly AUM arrive on different schedules. The page keeps their dates separate. Freshness follows each fund’s official validity date, not the time when the website downloaded the report.

Category comparisons use medians and include only valid reported values. They describe history. They are not forward-return estimates or personal allocation advice. Sahulat Capital does not apply the equity CGT schedule to mutual funds because a reviewed category-specific FBR rule is not yet present.

Primary sources