Launch of Islamic Strategic Allocation Plan 2 (ISAP 2) under ABL Islamic Financial Planning

August 08, 2016

Being your trusted financial advisor, our aim is to always provide you with the right guidance so that you can truly discover the potential of your savings.

Looking at the positive outlook of the Pakistani Capital Market, we are pleased to announce Islamic Strategic Allocation Plan 2 (ISAP-2) under ABL Islamic Financial Planning Funds (ABL IFPF) category. This plan will be actively managed between Islamic Equity & Islamic Income scheme segments with the focus of earning potentially higher risk adjusted returns while aiming to shelter your initial investment.

Some of the salient features of ABL-IFPF SAP 2 are as under:

  • The purpose of this 2-year plan is to nurture your investment & provide superior returns
  • 100% Shariah Compliant
  • Suitable for long term investors
  • Based on Islamic Fund of Fund Structure
  • Under the supervision of experienced Fund Managers of credible institution
  • Tax Rebate as per Section 62 of Income Tax Ordinance 2001

  • IPO of ABL Islamic Strategic Allocation Plan-2 is currently on-going & will conclude on August 19, 2016.

    If you require any further assistance, feel free to contact us on our Toll Free No. 0800-22526 or email us on We hope that the information contained herein will assist you in making an informed investment decision. To know more about our investment and savings products and other valued added services, please download our mobile app "ABL AMC" from Play Store & App store (Android & iOS).

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    Mutual Funds NAVs


    Applicable for: June 23,2017
    Fund Offer Redemption
    ABL-IF 10.1749 10.0245
    ABL-SF - -
    ABL-IIF 10.3004 10.1482
    ABL-GSF-B 10.1621 10.0119
    ABL-ISF - -
    ABL-IFPF-Conservative - -
    ABL-IFPF-Aggressive - -
    ABL-IFPF-Active - -
    ABL-IFPF-Strategic - -
    ABL-IFPF-Strategic II - -
    ABL-IFPF-Strategic III - -
    ABL-FPF-Conservative - -
    ABL-FPF-Active - -
    ABL-FPF-Strategic - -
    Applicable for:    June 29,2017
    ABL-CF 10.1064 10.1064
     NAV History

    Pension Funds NAVs

    ABL Pension Fund
    Applicable for: June 22,2017
    Sub Fund Redemption
    ABL-PF Equity Sub Fund 185.9580
    ABL-PF Debt Sub Fund 138.0976
    ABL-PF Money Market Sub Fund 113.8499
    ABL Islamic Pension Fund
    Sub Fund Redemption
    ABL-IPF Equity Sub Fund 187.5080
    ABL-IPF Debt Sub Fund 114.4614
    ABL-IPF Money Market Sub Fund 111.3010
     NAV History

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