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Name of Asset Manager: Peninsula Asset Mangement Company Limited Name of the Scheme/Mutual Fund: Peninsula AMCL BDBL Unit Fund One Portfolio Statements as at June 30, 2021 [ Figure in million Bangladeshi
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The Peninsula AMCL BDBL unit is a specific financial reporting unit that pertains to the accounting practices and financial disclosures required by Peninsula AMCL.
Entities that conduct business operations under Peninsula AMCL's jurisdiction or are subject to its regulatory requirements are required to file the Peninsula AMCL BDBL unit.
To fill out the Peninsula AMCL BDBL unit, follow the prescribed instructions provided by Peninsula AMCL, ensuring that all financial data is accurately reported and that all required fields are completed.
The purpose of the Peninsula AMCL BDBL unit is to facilitate transparent reporting of financial data, ensure compliance with regulatory standards, and provide insights into business activities.
The information that must be reported on the Peninsula AMCL BDBL unit includes financial transactions, revenue, expenses, and any relevant operational data as stipulated by Peninsula AMCL's guidelines.
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