Allianz Capital Protected Fund 66
Nilai Aktiva Bersih/Unit
1.000,68 IDR
Return/Hari
0.01%
Barometer Bareksa
Not Rated
Returns
Not Rated
Risk
Not Rated
Performance
Return
| 1 Bln | YTD | 1 Yr | 3 Yr | 5 Yr |
| - | - | - | - | - |
Detail Reksa Dana
| Jenis Reksa Dana |
Terproteksi |
| Tanggal Peluncuran |
22 Oktober 2025 |
| Bank Kustodian |
PT Bank Central Asia Tbk |
| Dana Kelolaan |
- |
| Min. Pembelian Awal |
|
| Min. Penjualan Kembali |
|
| 12 Month Low - High |
1.000,00 - 1.000,68 |
Biaya Transaksi (Maks) |
| Biaya Pembelian |
| Biaya Penjualan Kembali |
| Biaya Switching |
Tujuan Investasi
Kebijakan Investasi
Portofolio Investasi