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Headline: ABL Asset Management Limited - Funds Prices for July 15, 2020
Post Date: Jul 16, 2020 8:37 AM
TAG ID: ppistories815744
DocID: Newscom_-_PPI_Newscast_15th_July_2020_(Feed_2)_67.txt
Word Count: approx. 291 words
 
Name of the Fund Date NAV Offer RedemptionABL Stock Fund July 15, 2020 12.3912 12.6787 12.3912Allied Finergy Fund
 
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