PAKDATAHUB

AL Habib Fixed Return Fund Plan 28

AL Habib Asset Management Limited · Fixed Rate / Return · since 06 Mar 2026

Latest NAV · 08 Oct 2026102.9695PKR
Return · YTD+10.70%
↓ CSV
103.1PKR
06 Mar 2026100.008 Oct 2026

174 daily NAV observations. Get the full history and CSV with a free key.

Get a free key

Trailing returns

YTD+10.70%
1 month+9.52%
3 months+9.89%
6 months+11.24%

Performance analytics · computed from NAV history

CAGR · since inception+5.07%
Volatility · annualized3.17%
Max drawdown-2.98%

Derived from 174 NAV observations since 06 Mar 2026. Query all metrics via /v1/funds/15067/analytics.

Asset allocation · 01 Aug 2026

T-Bills
75.6%
Cash
24.4%
Liabilities
-0.0%

Expenses

Expense ratio · YTD0.24%
Management fee0.09%
Selling & marketing0.00%

Dividend payouts

DatePer unitEx-NAV
30 Jun 20263.1074100.0000

Use cases

  • Track AL Habib Fixed Return Fund Plan 28's NAV and total-return performance over time
  • Compare AL Habib Fixed Return Fund Plan 28 against peers by AMC or category
  • Screen for fixed rate / return funds by return, payout or expense ratio
  • Pull AL Habib Fixed Return Fund Plan 28's full daily NAV history into your stack as JSON or CSV

Who uses this

  • Wealth & portfolio manager
  • Financial advisor
  • Retail investor
  • Fintech / robo-advisor

Metadata

Fund ID
15067
Asset manager
AL Habib Asset Management Limited
Category
Fixed Rate / Return
Sector
Open-End Funds
Trustee
CDC
Inception
06 Mar 2026

Fetch it

curl -H "X-API-Key: pk_live_xxx" \
  "https://api.pakdatahub.com/v1/funds/15067/nav?sort=asc"

FAQ

What is AL Habib Fixed Return Fund Plan 28?

AL Habib Fixed Return Fund Plan 28 is a Fixed Rate / Return managed by AL Habib Asset Management Limited, an asset-management company in Pakistan. Its daily NAV is published by MUFAP.

How has AL Habib Fixed Return Fund Plan 28 performed?

As of the latest data, its trailing return is +10.70% year-to-date.

How do I get AL Habib Fixed Return Fund Plan 28's NAV history via the API?

Call GET /v1/funds/15067/nav with your API key for the full daily NAV series, or /returns, /payouts and /expenses for performance, dividends and TER. Add ?format=csv for a download.