| 1 Bln | YTD | 1 Yr | 3 Yr | 5 Yr |
|---|---|---|---|---|
| -0,75 % | -4,91 % | - | - | - |
| Jenis Reksa Dana | Indeks & ETF |
| Tanggal Peluncuran | 12 November 2025 |
| Bank Kustodian | PT Bank CIMB Niaga Tbk |
| Dana Kelolaan | IDR 66.785.098,00 |
| Min. Pembelian Awal | - |
| Min. Penjualan Kembali | - |
| 12 Month Low - High | 934,83 - 1.001,43 |
Biaya Transaksi (Maks) |
|---|
| Biaya Pembelian Maks 2% |
| Biaya Penjualan Kembali Maks 2% |
| Biaya Switching Maks 2% |
| Catatan |
|---|
FR0065
FR0068
FR0080
FR0083
FR0091
FR0096
FR0098
FR0100
FR0103
FR0106
Mei 2026