Dividend Information

Net Asset Value is defined as the market value of all assets in the fund less liabilities. NAV is generally declared on per unit basis, dividing the total Net Asset Value by the outstanding number of units of the fund.

Price Sensitive Information

YearEBL AML 1st Unit FundView
20240%
20236.25%
20225%
202112%

Unpaid Dividend Information

YearEBL AML 1st Unit Fund
2024BDT 0.00
2023BDT 0.00
2022BDT 0.00
2021BDT 0.00
prospectus-abridged

EBL AML 1st Unit Fund
Dividend Declaration PSI (Year 2022)

prospectus-abridged

EBL AML 1st Unit Fund
Dividend Declaration PSI (Year 2021)

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