The Board of directors of Assetplex Modaraba Management Limited, a Management Company of Modaraba Al-Mali in their meeting held on October 04, 2021 has approved: A Final Cash Dividend for the year ended June 30, 2021 at PKR 0.37 per certificate that is 3.7%. The Above entitlement will be paid to the Certificate Holders whose name will appear in the Registrar of Modaraba on October 21, 2021. The Certificate Transfer Books of the Modaraba will be closed from October 22, 2021 to October 29, 2021.