|
Avrist Emerald Stable Fund |
Avrist Asset Management, PT |
IDR |
1.113,30 |
9,3125 |
0,05 |
1,03 |
2,22 |
5,14 |
0,05 |
5,14 |
8,27 |
- |
- |
- |
- |
11,33 |
Not Rated |
|
|
3.50108 |
Not Rated |
|
101.004.724.872 |
91.655.661 |
BELI |
|
BNI-AM Dana Pendapatan Tetap Makara Investasi |
BNI Asset Management, PT |
IDR |
1.268,86 |
-8,8462 |
0,04 |
0,72 |
1,76 |
2,29 |
0,04 |
2,29 |
2,67 |
2,54 |
2,55 |
4,96 |
- |
26,89 |
Not Rated |
|
|
2.00078 |
Not Rated |
|
155.341.852.675 |
123.312.106 |
BELI |
|
BNP Paribas Pesona Syariah |
BNP Paribas Asset Management, PT |
IDR |
2.419,36 |
-1,4057 |
0,43 |
-0,84 |
14,42 |
-0,88 |
0,43 |
-0,88 |
-0,56 |
-3,03 |
1,43 |
21,46 |
4,19 |
141,94 |
Not Rated |
|
|
3.00114 |
Not Rated |
|
326.719.353.568 |
133.912.213 |
BELI |
|
BRI Seruni Pasar Uang III |
BRI Manajemen Investasi, PT |
IDR |
1.804,82 |
-4,6032 |
0,02 |
0,48 |
1,42 |
2,71 |
0,02 |
2,71 |
5,60 |
10,55 |
14,14 |
23,65 |
57,63 |
80,48 |
Not Rated |
|
|
3.50064 |
Not Rated |
|
2.038.235.880.661 |
1.134.742.817 |
BELI |
|
BRI Seruni Pasar Uang Syariah |
BRI Manajemen Investasi, PT |
IDR |
1.366,54 |
-6,8493 |
0,02 |
0,52 |
1,43 |
2,82 |
0,02 |
2,82 |
5,38 |
10,95 |
14,65 |
23,66 |
- |
36,65 |
Not Rated |
|
|
3.50056 |
Not Rated |
|
682.063.784.110 |
501.696.923 |
BELI |
|
Batavia Dana Kas Maxima |
Batavia Prosperindo Aset Manajemen, PT |
IDR |
1.835,16 |
-21,5849 |
0,01 |
0,44 |
1,25 |
2,37 |
0,01 |
2,37 |
4,71 |
9,18 |
12,40 |
19,54 |
57,20 |
83,52 |
Not Rated |
|
|
3.00048 |
Not Rated |
|
12.734.037.385.955 |
6.969.349.263 |
BELI |
|
Batavia Dana Likuid |
Batavia Prosperindo Aset Manajemen, PT |
IDR |
1.371,11 |
-52,9487 |
0,01 |
0,38 |
0,97 |
1,86 |
0,01 |
1,86 |
3,75 |
7,17 |
9,32 |
12,69 |
26,54 |
37,11 |
Not Rated |
|
|
1.50033 |
Not Rated |
|
529.625.982.623 |
387.721.892 |
BELI |
|
Batavia Dana Obligasi Ultima |
Batavia Prosperindo Aset Manajemen, PT |
IDR |
2.944,61 |
-8,4726 |
0,07 |
0,64 |
1,57 |
2,13 |
0,07 |
2,13 |
2,52 |
0,63 |
2,67 |
7,23 |
48,24 |
194,46 |
Not Rated |
|
|
2.00074 |
Not Rated |
|
1.040.487.743.798 |
355.623.338 |
BELI |
|
Cipta Dana Cash |
Ciptadana Asset Management, PT |
IDR |
1.757,79 |
-2,5323 |
0,01 |
0,56 |
1,53 |
2,99 |
0,01 |
2,99 |
5,74 |
11,24 |
15,99 |
25,87 |
75,10 |
75,78 |
Not Rated |
|
|
3.50057 |
Not Rated |
|
263.973.594.680 |
151.013.686 |
BELI |
|
Danamas Pasti |
Sinarmas Asset Management, PT |
IDR |
4.989,14 |
-1,8308 |
0,02 |
0,51 |
1,74 |
3,02 |
0,02 |
3,02 |
5,78 |
11,54 |
17,35 |
31,06 |
81,57 |
398,91 |
Not Rated |
|
|
3.00087 |
Not Rated |
|
254.482.775.093 |
51.269.282 |
BELI |
|
Danamas Rupiah Plus |
Sinarmas Asset Management, PT |
IDR |
1.808,56 |
-16,7091 |
0,01 |
0,49 |
1,34 |
2,49 |
0,01 |
2,49 |
4,94 |
9,79 |
13,96 |
24,83 |
60,25 |
80,86 |
Not Rated |
|
|
3.00046 |
Not Rated |
|
1.580.791.463.968 |
878.346.762 |
BELI |
|
Danamas Stabil |
Sinarmas Asset Management, PT |
IDR |
4.948,22 |
-0,3544 |
0,02 |
0,72 |
1,68 |
3,02 |
0,02 |
3,02 |
5,87 |
11,89 |
18,15 |
34,45 |
89,89 |
394,82 |
Not Rated |
|
|
3.00084 |
Not Rated |
|
14.909.240.525.552 |
3.034.622.007 |
BELI |
|
I-Hajj Syariah Fund |
Insight Investments Management, PT |
IDR |
5.279,30 |
25,3431 |
0,02 |
0,94 |
2,40 |
4,34 |
0,02 |
4,34 |
8,66 |
15,42 |
23,67 |
44,06 |
109,55 |
427,93 |
Not Rated |
|
|
3.50112 |
Not Rated |
|
2.891.068.406.108 |
552.795.889 |
BELI |
|
Insight Sri Kehati Likuid - I Sri Likuid |
Insight Investments Management, PT |
IDR |
1.012,77 |
-2,5729 |
-0,81 |
-8,09 |
4,85 |
-4,59 |
-0,81 |
-4,59 |
-8,96 |
-16,07 |
-0,80 |
23,70 |
- |
1,28 |
Not Rated |
|
|
3.00117 |
Not Rated |
|
10.937.538.823 |
9.926.016 |
BELI |
|
KISI Money Market Fund |
KISI Asset Management, PT |
IDR |
1.322,31 |
-3,7619 |
0,02 |
0,49 |
1,43 |
2,79 |
0,02 |
2,79 |
5,66 |
11,21 |
15,99 |
27,96 |
- |
32,23 |
Not Rated |
|
|
4.00074 |
Not Rated |
|
1.384.406.429.615 |
1.052.086.719 |
BELI |
|
Kisi Fixed Income Fund Plus |
KISI Asset Management, PT |
IDR |
1.119,45 |
20,8889 |
0,02 |
1,26 |
2,98 |
4,71 |
0,02 |
4,71 |
8,71 |
- |
- |
- |
- |
11,95 |
Not Rated |
|
|
4.00119 |
Not Rated |
|
1.073.955.133.042 |
971.485.895 |
BELI |
|
MNC Dana Lancar |
MNC Asset Management, PT |
IDR |
1.944,79 |
-4,3492 |
0,02 |
0,53 |
1,50 |
2,85 |
0,02 |
2,85 |
5,62 |
10,87 |
15,51 |
26,51 |
68,22 |
94,48 |
Not Rated |
|
|
3.50058 |
Not Rated |
|
108.548.185.006 |
56.111.581 |
BELI |
|
Manulife Dana Campuran II |
Manulife Aset Manajemen Indonesia, PT |
IDR |
2.807,22 |
-3,6319 |
0,07 |
-0,80 |
6,87 |
0,44 |
0,07 |
0,44 |
-1,82 |
-0,26 |
1,82 |
19,25 |
18,46 |
180,72 |
Not Rated |
|
|
3.00044 |
Not Rated |
|
69.257.783.545 |
24.473.259 |
BELI |
|
Manulife Indonesia Money Market Fund Kelas D1 |
Manulife Aset Manajemen Indonesia, PT |
IDR |
873,19 |
-15,8889 |
0,01 |
0,43 |
1,26 |
2,46 |
0,01 |
2,46 |
4,85 |
9,21 |
- |
- |
- |
-12,68 |
Not Rated |
|
|
3.00045 |
Not Rated |
|
5.245.081.954 |
6.032.563 |
BELI |
|
Manulife Pendapatan Bulanan II |
Manulife Aset Manajemen Indonesia, PT |
IDR |
1.152,94 |
-11,6081 |
0,03 |
0,51 |
1,38 |
1,79 |
0,03 |
1,79 |
1,45 |
-0,43 |
0,55 |
1,37 |
9,15 |
15,29 |
Not Rated |
|
|
2.00072 |
Not Rated |
|
1.515.444.003.455 |
1.321.105.313 |
BELI |
|
Manulife Saham Andalan |
Manulife Aset Manajemen Indonesia, PT |
IDR |
1.603,21 |
-3,4113 |
-0,57 |
-4,80 |
2,33 |
-10,13 |
-0,57 |
-10,13 |
-9,66 |
-23,11 |
-35,76 |
14,03 |
-8,28 |
60,32 |
Not Rated |
|
|
2.00085 |
Not Rated |
|
890.756.121.043 |
528.926.693 |
BELI |
|
Manulife Saham SMC Plus |
Manulife Aset Manajemen Indonesia, PT |
IDR |
592,59 |
-2,1396 |
-0,27 |
-4,67 |
13,42 |
-3,69 |
-0,27 |
-3,69 |
-5,69 |
-14,43 |
-18,98 |
14,07 |
-27,51 |
-40,74 |
Not Rated |
|
|
3.50126 |
Not Rated |
|
52.522.816.517 |
84.496.653 |
BELI |
|
Manulife Syariah Sektoral Amanah Kelas A |
Manulife Aset Manajemen Indonesia, PT |
IDR |
3.224,09 |
-1,1418 |
0,22 |
-0,71 |
14,84 |
-0,05 |
0,22 |
-0,05 |
0,15 |
-8,42 |
-8,34 |
16,70 |
-8,38 |
222,41 |
Not Rated |
|
|
3.00119 |
Not Rated |
|
164.004.442.776 |
50.509.659 |
BELI |
|
Maybank Dana Ekuitas |
Maybank Asset Management, PT |
IDR |
3.126,70 |
-4,0415 |
0,04 |
-3,08 |
4,56 |
-10,90 |
0,04 |
-10,90 |
-11,05 |
-11,97 |
-10,98 |
3,51 |
3,09 |
212,67 |
Not Rated |
|
|
1.00079 |
Not Rated |
|
49.314.754.839 |
15.286.543 |
BELI |
|
Maybank Dana Pasar Uang |
Maybank Asset Management, PT |
IDR |
1.975,13 |
-13,4444 |
0,01 |
0,46 |
1,29 |
2,52 |
0,01 |
2,52 |
5,14 |
10,14 |
13,83 |
24,43 |
70,56 |
97,51 |
Not Rated |
|
|
3.0005 |
Not Rated |
|
387.789.979.367 |
197.233.131 |
BELI |
|
Maybank Dana Pasti 2 |
Maybank Asset Management, PT |
IDR |
3.168,32 |
-10,9441 |
0,01 |
0,25 |
1,03 |
1,85 |
0,01 |
1,85 |
2,44 |
1,78 |
5,46 |
21,00 |
70,71 |
216,83 |
Not Rated |
|
|
1.50071 |
Not Rated |
|
99.430.043.548 |
31.461.955 |
BELI |
|
Mega Dana Kas |
Mega Asset Management, PT |
IDR |
2.179,50 |
-1,4891 |
-0,33 |
0,37 |
1,36 |
2,77 |
-0,33 |
2,77 |
5,69 |
11,52 |
16,34 |
28,08 |
76,41 |
117,95 |
Not Rated |
|
|
3.00051 |
Not Rated |
|
342.158.279.629 |
157.568.854 |
BELI |
|
Mega Dana Pendapatan Tetap |
Mega Asset Management, PT |
IDR |
1.978,02 |
9,6795 |
-0,02 |
0,65 |
1,74 |
3,42 |
-0,02 |
3,42 |
6,70 |
13,67 |
24,92 |
50,21 |
125,90 |
97,80 |
Not Rated |
|
|
3.00102 |
Not Rated |
|
121.727.769.294 |
61.941.549 |
BELI |
|
PNM Optima Bulanan |
PNM Investment Management, PT |
IDR |
1.010,89 |
-14,7281 |
0,02 |
0,10 |
0,27 |
0,47 |
0,02 |
0,47 |
0,88 |
0,91 |
- |
- |
- |
1,09 |
Not Rated |
|
|
2.00075 |
Not Rated |
|
317.406.958.564 |
314.311.398 |
BELI |
|
Pinnacle Indonesia Bond Fund |
Pinnacle Persada Investama, PT |
IDR |
1.618,60 |
2,0334 |
0,12 |
1,46 |
3,68 |
4,86 |
0,12 |
4,86 |
6,95 |
6,80 |
15,22 |
27,53 |
- |
61,86 |
Not Rated |
|
|
3.00085 |
Not Rated |
|
61.710.632.065 |
38.682.036 |
BELI |
|
Pinnacle Money Market Fund |
Pinnacle Persada Investama, PT |
IDR |
1.591,36 |
-0,5313 |
0,02 |
0,55 |
1,55 |
2,99 |
0,02 |
2,99 |
5,87 |
11,44 |
16,21 |
26,93 |
- |
59,14 |
Not Rated |
|
|
3.50063 |
Not Rated |
|
449.113.917.107 |
283.771.308 |
BELI |
|
Prospera Dana Lancar |
Prospera Asset Management, PT |
IDR |
1.606,63 |
-16,3099 |
0,02 |
0,49 |
1,48 |
2,64 |
0,02 |
2,64 |
4,69 |
9,52 |
13,79 |
25,71 |
- |
60,66 |
Not Rated |
|
|
2.50037 |
Not Rated |
|
102.402.740.712 |
64.047.781 |
BELI |
|
Prospera Saham SMC |
Prospera Asset Management, PT |
IDR |
1.543,49 |
-1,0578 |
-0,09 |
-4,65 |
5,01 |
-2,95 |
-0,09 |
-2,95 |
0,22 |
-0,36 |
7,29 |
47,16 |
- |
54,35 |
Not Rated |
|
|
3.00113 |
Not Rated |
|
90.525.840.729 |
55.923.077 |
BELI |
|
Reksa Dana Allianz Fixed Income Fund 2 |
Allianz Global Investors Asset Management Indonesia, PT |
IDR |
1.646,54 |
2,9115 |
0,19 |
1,36 |
3,78 |
5,11 |
0,19 |
5,11 |
7,69 |
8,76 |
19,45 |
32,07 |
- |
64,65 |
Not Rated |
|
|
3.00105 |
Not Rated |
|
68.199.444.586 |
41.982.941 |
BELI |
|
Reksa Dana Allianz Rupiah Liquid Fund Kelas A |
Allianz Global Investors Asset Management Indonesia, PT |
IDR |
1.818,20 |
-19,8197 |
0,02 |
0,46 |
1,27 |
2,43 |
0,02 |
2,43 |
4,64 |
8,87 |
11,02 |
17,24 |
54,38 |
81,82 |
Not Rated |
|
|
3.00042 |
Not Rated |
|
38.655.475.868 |
21.357.927 |
BELI |
|
Reksa Dana BNI AM Dana Likuid Kelas A |
BNI Asset Management, PT |
IDR |
1.948,11 |
-14,7833 |
0,02 |
0,53 |
1,47 |
2,63 |
0,02 |
2,63 |
4,97 |
9,08 |
12,46 |
20,38 |
64,22 |
94,81 |
Not Rated |
|
|
3.00053 |
Not Rated |
|
261.822.054.730 |
135.103.703 |
BELI |
|
Reksa Dana Bahana Primavera Plus |
Bahana TCW Investment Management, PT |
IDR |
11.468,28 |
-3,3122 |
-1,28 |
-1,33 |
14,21 |
-0,72 |
-1,28 |
-0,72 |
-11,90 |
-12,32 |
-19,14 |
-2,71 |
-16,59 |
1.046,83 |
Not Rated |
|
|
3.00106 |
Not Rated |
|
47.618.866.970 |
4.097.153 |
BELI |
|
Reksa Dana Indeks Allianz SRI KEHATI Index Fund |
Allianz Global Investors Asset Management Indonesia, PT |
IDR |
985,01 |
-2,4935 |
-0,81 |
-8,06 |
5,31 |
-3,89 |
-0,81 |
-3,89 |
-8,72 |
-16,41 |
-3,23 |
21,33 |
- |
-1,50 |
Not Rated |
|
|
4.00131 |
Not Rated |
|
97.921.776.395 |
91.394.941 |
BELI |
|
Reksa Dana Syariah Mandiri Bukareksa Pasar Uang |
Mandiri Manajemen Investasi, PT |
IDR |
1.352,84 |
-38,7391 |
0,01 |
0,35 |
1,00 |
2,06 |
0,01 |
2,06 |
4,04 |
8,33 |
10,74 |
16,18 |
- |
35,28 |
Not Rated |
|
|
2.50035 |
Not Rated |
|
5.870.645.345 |
4.354.649 |
BELI |
|
Reksa Dana UOBAM ESG Pasar Uang Indonesia |
UOB Asset Management Indonesia, PT |
IDR |
1.164,54 |
-16,7391 |
0,01 |
0,46 |
1,29 |
2,39 |
0,01 |
2,39 |
4,69 |
9,02 |
11,50 |
- |
- |
16,45 |
Not Rated |
|
|
2.50039 |
Not Rated |
|
293.265.820.995 |
252.978.155 |
BELI |
|
Reksa Dana UOBAM Indeks Bisnis-27 |
UOB Asset Management Indonesia, PT |
IDR |
1.251,31 |
-2,2370 |
-0,63 |
-5,75 |
8,65 |
-1,98 |
-0,63 |
-1,98 |
-7,58 |
-11,99 |
-0,46 |
20,04 |
11,66 |
25,13 |
Not Rated |
|
|
4.00134 |
Not Rated |
|
113.779.051.969 |
85.701.601 |
BELI |
|
STAR Infobank 15 Kelas Utama |
Surya Timur Alam Raya Asset Management, PT |
IDR |
882,35 |
-2,5309 |
-1,35 |
-10,80 |
1,46 |
-6,58 |
-1,35 |
-6,58 |
-12,37 |
- |
- |
- |
- |
-11,77 |
Not Rated |
|
|
3.50121 |
Not Rated |
|
63.875.203.710 |
64.574.890 |
BELI |
|
STAR Money Market Kelas Utama |
Surya Timur Alam Raya Asset Management, PT |
IDR |
1.464,22 |
-1,2273 |
0,02 |
0,51 |
1,45 |
2,87 |
0,02 |
2,87 |
5,82 |
11,00 |
15,63 |
26,74 |
- |
46,42 |
Not Rated |
|
|
4.00068 |
Not Rated |
|
99.688.652.171 |
68.426.921 |
BELI |
|
STAR Sharia Money Market |
Surya Timur Alam Raya Asset Management, PT |
IDR |
1.206,00 |
-1,2973 |
0,01 |
0,58 |
1,52 |
2,94 |
0,01 |
2,94 |
5,75 |
11,25 |
15,93 |
- |
- |
20,60 |
Not Rated |
|
|
4.00071 |
Not Rated |
|
15.750.121.405 |
13.135.528 |
BELI |
|
STAR Stable Amanah Sukuk |
Surya Timur Alam Raya Asset Management, PT |
IDR |
1.130,40 |
22,6667 |
0,04 |
0,77 |
2,20 |
4,01 |
0,04 |
4,01 |
8,15 |
- |
- |
- |
- |
13,04 |
Not Rated |
|
|
4.00117 |
Not Rated |
|
719.132.079.834 |
641.056.901 |
BELI |
|
STAR Stable Income Fund Kelas Utama |
Surya Timur Alam Raya Asset Management, PT |
IDR |
2.080,76 |
17,0641 |
0,03 |
0,90 |
2,13 |
3,72 |
0,03 |
3,72 |
7,31 |
13,72 |
22,15 |
52,67 |
- |
108,08 |
Not Rated |
|
|
3.50107 |
Not Rated |
|
9.200.036.943.515 |
4.461.100.959 |
BELI |
|
Schroder Dana Istimewa |
Schroder Investment Management Indonesia, PT |
IDR |
5.758,94 |
-2,9534 |
0,12 |
-3,50 |
9,75 |
-5,81 |
0,12 |
-5,81 |
-7,73 |
-17,08 |
-12,63 |
8,07 |
-10,58 |
475,89 |
Not Rated |
|
|
2.50094 |
Not Rated |
|
299.352.538.424 |
50.162.806 |
BELI |
|
Schroder Dana Kombinasi |
Schroder Investment Management Indonesia, PT |
IDR |
4.380,16 |
-6,7505 |
0,24 |
-2,42 |
-4,12 |
-3,80 |
0,24 |
-3,80 |
-4,10 |
-3,09 |
0,39 |
9,75 |
48,66 |
338,02 |
Not Rated |
|
|
1.00035 |
Not Rated |
|
425.664.526.293 |
94.828.751 |
BELI |
|
Schroder Dynamic Balanced Fund |
Schroder Investment Management Indonesia, PT |
IDR |
1.632,45 |
-3,1157 |
0,39 |
-3,77 |
1,79 |
-4,01 |
0,39 |
-4,01 |
-4,94 |
-6,47 |
7,97 |
24,38 |
47,90 |
63,25 |
Not Rated |
|
|
3.00042 |
Not Rated |
|
103.553.018.484 |
61.042.152 |
BELI |
|
Sequis Balance Ultima |
Sequis Aset Manajemen, PT |
IDR |
1.206,34 |
-3,2630 |
0,18 |
-2,41 |
4,18 |
-2,09 |
0,18 |
-2,09 |
-1,40 |
-0,81 |
6,13 |
21,21 |
- |
20,63 |
Not Rated |
|
|
3.00043 |
Not Rated |
|
92.971.540.224 |
75.210.811 |
BELI |
|
Sequis Bond Optima |
Sequis Aset Manajemen, PT |
IDR |
1.537,06 |
0,2172 |
0,13 |
1,21 |
3,08 |
4,35 |
0,13 |
4,35 |
5,98 |
6,73 |
11,04 |
21,48 |
- |
53,71 |
Not Rated |
|
|
3.00095 |
Not Rated |
|
40.722.442.170 |
26.813.866 |
BELI |
|
Sequis Equity Maxima |
Sequis Aset Manajemen, PT |
IDR |
839,08 |
-3,5396 |
-0,01 |
-5,61 |
5,44 |
-7,81 |
-0,01 |
-7,81 |
-9,98 |
-13,45 |
-10,26 |
8,50 |
- |
-16,09 |
Not Rated |
|
|
2.5009 |
Not Rated |
|
250.546.797.988 |
281.851.059 |
BELI |
|
Setiabudi Dana Campuran |
Setiabudi Investment Management, PT |
IDR |
1.457,02 |
-0,2343 |
-0,02 |
-2,33 |
6,96 |
1,46 |
-0,02 |
1,46 |
4,35 |
10,24 |
18,11 |
73,27 |
- |
45,70 |
Not Rated |
|
|
4.00051 |
Not Rated |
|
85.245.859.945 |
57.144.695 |
BELI |
|
Setiabudi Dana Pasar Uang |
Setiabudi Investment Management, PT |
IDR |
1.546,11 |
-4,7705 |
0,02 |
0,50 |
1,43 |
2,78 |
0,02 |
2,78 |
5,60 |
11,15 |
15,45 |
25,74 |
- |
54,61 |
Not Rated |
|
|
4.00073 |
Not Rated |
|
633.204.230.990 |
411.606.311 |
BELI |
|
Shinhan Balance Fund |
Demina Capital Asset Management, PT |
IDR |
2.305,34 |
-0,3495 |
-0,11 |
0,40 |
13,51 |
4,63 |
-0,11 |
4,63 |
3,47 |
18,52 |
21,69 |
48,24 |
124,01 |
130,53 |
Not Rated |
|
|
4.00052 |
Not Rated |
|
29.196.179.280 |
12.715.205 |
BELI |
|
Shinhan Money Market Fund |
Demina Capital Asset Management, PT |
IDR |
1.464,72 |
-2,7722 |
0,01 |
0,49 |
1,37 |
2,53 |
0,01 |
2,53 |
5,67 |
11,32 |
15,90 |
25,45 |
- |
46,47 |
Not Rated |
|
|
3.50059 |
Not Rated |
|
264.188.485.725 |
181.246.146 |
BELI |
|
Simas Danamas Saham |
Sinarmas Asset Management, PT |
IDR |
1.727,80 |
-2,8787 |
-0,88 |
-2,12 |
4,25 |
-5,65 |
-0,88 |
-5,65 |
-8,07 |
7,01 |
15,68 |
21,55 |
6,45 |
72,78 |
Not Rated |
|
|
2.00083 |
Not Rated |
|
140.189.967.978 |
79.415.480 |
BELI |
|
Simas Saham Unggulan |
Sinarmas Asset Management, PT |
IDR |
1.128,16 |
-4,4034 |
-0,09 |
-2,87 |
6,75 |
-7,34 |
-0,09 |
-7,34 |
-12,56 |
-14,77 |
-9,20 |
-5,75 |
-13,39 |
12,82 |
Not Rated |
|
|
1.0008 |
Not Rated |
|
542.793.446.187 |
467.336.026 |
BELI |
|
Simas Satu |
Sinarmas Asset Management, PT |
IDR |
7.245,59 |
-2,9918 |
-0,33 |
-0,66 |
2,43 |
-1,91 |
-0,33 |
-1,91 |
0,03 |
-4,51 |
0,68 |
15,12 |
38,14 |
624,56 |
Not Rated |
|
|
2.00036 |
Not Rated |
|
46.117.583.295 |
6.322.717 |
BELI |
|
Sucorinvest Anak Pintar |
Sucorinvest Asset Management, PT |
IDR |
3.029,66 |
2,7203 |
-0,29 |
-1,81 |
7,54 |
3,48 |
-0,29 |
3,48 |
14,36 |
5,13 |
24,61 |
114,21 |
- |
202,97 |
Not Rated |
|
|
4.00053 |
Not Rated |
|
146.143.218.376 |
47.364.657 |
BELI |
|
Sucorinvest Bond Fund |
Sucorinvest Asset Management, PT |
IDR |
1.573,48 |
-2,2300 |
0,07 |
1,72 |
2,75 |
3,70 |
0,07 |
3,70 |
4,57 |
-1,51 |
2,53 |
19,66 |
- |
57,35 |
Not Rated |
|
|
2.50081 |
Not Rated |
|
174.896.572.037 |
113.065.583 |
BELI |
|
Sucorinvest Citra Dana Berimbang |
Sucorinvest Asset Management, PT |
IDR |
2.303,62 |
-0,1943 |
-0,92 |
-1,03 |
8,56 |
-0,46 |
-0,92 |
-0,46 |
4,40 |
-4,74 |
11,88 |
110,72 |
- |
130,36 |
Not Rated |
|
|
3.50048 |
Not Rated |
|
130.777.088.893 |
56.186.346 |
BELI |
|
Sucorinvest Equity Fund |
Sucorinvest Asset Management, PT |
IDR |
2.441,13 |
-2,2658 |
-1,25 |
-6,38 |
7,70 |
-2,21 |
-1,25 |
-2,21 |
-4,61 |
-9,06 |
-8,67 |
40,58 |
123,53 |
144,11 |
Not Rated |
|
|
5.00137 |
Not Rated |
|
3.197.200.250.196 |
1.226.194.522 |
BELI |
|
Sucorinvest Flexi Fund |
Sucorinvest Asset Management, PT |
IDR |
5.505,82 |
-4,6738 |
-0,58 |
-2,41 |
0,88 |
-6,01 |
-0,58 |
-6,01 |
-6,90 |
-15,21 |
-7,84 |
36,95 |
88,26 |
450,58 |
Not Rated |
|
|
2.50039 |
Not Rated |
|
133.911.241.537 |
23.736.740 |
BELI |
|
Sucorinvest Maxi Fund |
Sucorinvest Asset Management, PT |
IDR |
1.702,21 |
1,0714 |
-0,98 |
-4,95 |
10,35 |
-1,92 |
-0,98 |
-1,92 |
9,20 |
-11,47 |
-4,31 |
36,13 |
75,83 |
70,22 |
Not Rated |
|
|
4.50136 |
Not Rated |
|
135.211.230.354 |
75.503.721 |
BELI |
|
Sucorinvest Money Market Fund |
Sucorinvest Asset Management, PT |
IDR |
1.886,90 |
0,3750 |
0,02 |
0,53 |
1,46 |
3,04 |
0,02 |
3,04 |
5,93 |
10,27 |
14,13 |
26,73 |
79,60 |
88,69 |
Not Rated |
|
|
3.50061 |
Not Rated |
|
4.907.820.582.623 |
2.614.850.153 |
BELI |
|
Sucorinvest Monthly Income Fund |
Sucorinvest Asset Management, PT |
IDR |
1.101,51 |
-5,3175 |
0,01 |
0,02 |
-0,07 |
0,81 |
0,01 |
0,81 |
3,33 |
5,93 |
5,44 |
- |
- |
10,15 |
Not Rated |
|
|
2.5008 |
Not Rated |
|
2.321.604.657.629 |
2.107.977.288 |
BELI |
|
Sucorinvest Sharia Balanced Fund |
Sucorinvest Asset Management, PT |
IDR |
1.163,39 |
4,9187 |
0,04 |
0,81 |
1,37 |
3,14 |
0,04 |
3,14 |
6,99 |
14,17 |
9,15 |
46,92 |
- |
16,34 |
Not Rated |
|
|
3.00046 |
Not Rated |
|
1.418.803.104.170 |
1.229.377.339 |
BELI |
|
Sucorinvest Sharia Equity Fund |
Sucorinvest Asset Management, PT |
IDR |
1.569,17 |
-2,1221 |
-0,66 |
-1,78 |
1,86 |
-4,73 |
-0,66 |
-4,73 |
-2,12 |
-15,12 |
-21,81 |
34,99 |
64,87 |
56,92 |
Not Rated |
|
|
2.00089 |
Not Rated |
|
374.524.778.876 |
234.416.627 |
BELI |
|
Sucorinvest Sharia Money Market Fund |
Sucorinvest Asset Management, PT |
IDR |
1.423,16 |
-5,2759 |
0,01 |
0,48 |
1,32 |
2,64 |
0,01 |
2,64 |
5,58 |
10,09 |
13,88 |
25,63 |
- |
42,32 |
Not Rated |
|
|
4.00069 |
Not Rated |
|
5.564.528.892.476 |
3.928.625.501 |
BELI |
|
Sucorinvest Sharia Sukuk Fund |
Sucorinvest Asset Management, PT |
IDR |
1.231,74 |
11,4400 |
0,02 |
0,62 |
1,78 |
3,49 |
0,02 |
3,49 |
6,81 |
11,89 |
17,64 |
- |
- |
23,17 |
Not Rated |
|
|
3.5011 |
Not Rated |
|
2.434.314.424.737 |
1.988.502.523 |
BELI |
|
Sucorinvest Stable Fund |
Sucorinvest Asset Management, PT |
IDR |
1.376,08 |
-3,8939 |
0,00 |
0,64 |
0,95 |
2,57 |
0,00 |
2,57 |
5,09 |
8,30 |
13,71 |
33,68 |
- |
37,61 |
Not Rated |
|
|
3.00086 |
Not Rated |
|
2.221.976.737.560 |
1.625.077.471 |
BELI |
|
Sucorinvest Sustainability Equity Fund |
Sucorinvest Asset Management, PT |
IDR |
1.154,34 |
1,1845 |
-0,85 |
-4,54 |
10,75 |
2,31 |
-0,85 |
2,31 |
9,26 |
13,78 |
20,69 |
- |
- |
15,43 |
Not Rated |
|
|
5.00138 |
Not Rated |
|
27.586.336.378 |
22.812.889 |
BELI |
|
Syailendra Dana Kas |
Syailendra Capital, PT |
IDR |
1.726,57 |
-12,6316 |
0,02 |
0,53 |
1,42 |
2,56 |
0,02 |
2,56 |
5,15 |
9,98 |
14,39 |
24,58 |
72,02 |
72,66 |
Not Rated |
|
|
3.00055 |
Not Rated |
|
1.807.913.590.976 |
1.052.648.774 |
BELI |
|
Syailendra Equity Platinum Fund Kelas B |
Syailendra Capital, PT |
IDR |
964,42 |
- |
-0,29 |
-4,61 |
7,38 |
-6,28 |
-0,29 |
-6,28 |
- |
- |
- |
- |
- |
-3,56 |
Not Rated |
|
|
3.00118 |
Not Rated |
|
45.089.472.647 |
44.596.076 |
BELI |
|
Syailendra Pendapatan Tetap Premium |
Syailendra Capital, PT |
IDR |
1.870,04 |
0,1097 |
0,02 |
0,51 |
2,46 |
3,50 |
0,02 |
3,50 |
5,93 |
9,79 |
17,17 |
42,16 |
- |
87,00 |
Not Rated |
|
|
3.00106 |
Not Rated |
|
2.887.669.421.024 |
1.552.115.950 |
BELI |
|
Syailendra Pendapatan Total Return Kelas A |
Syailendra Capital, PT |
IDR |
1.041,45 |
-5,1062 |
0,03 |
0,64 |
1,74 |
1,86 |
0,03 |
1,86 |
2,78 |
- |
- |
- |
- |
4,15 |
Not Rated |
|
|
3.00103 |
Not Rated |
|
461.185.031.020 |
445.645.623 |
BELI |
|
Syailendra Sharia Fixed Income Fund |
Syailendra Capital, PT |
IDR |
1.105,33 |
8,8328 |
0,01 |
0,64 |
2,29 |
5,09 |
0,01 |
5,09 |
8,88 |
- |
- |
- |
- |
10,53 |
Not Rated |
|
|
4.00118 |
Not Rated |
|
196.271.419.958 |
178.709.746 |
BELI |
|
Syailendra Sharia Money Market Fund |
Syailendra Capital, PT |
IDR |
1.462,99 |
-10,4262 |
0,02 |
0,56 |
1,51 |
2,78 |
0,02 |
2,78 |
5,24 |
10,53 |
14,91 |
25,86 |
- |
46,30 |
Not Rated |
|
|
4.00072 |
Not Rated |
|
541.887.406.784 |
372.473.438 |
BELI |
|
TRAM Alpha |
Trimegah Asset Management, PT |
IDR |
1.499,97 |
-2,8264 |
-0,01 |
-0,79 |
5,30 |
0,66 |
-0,01 |
0,66 |
0,03 |
1,98 |
7,10 |
37,52 |
38,49 |
50,00 |
Not Rated |
|
|
3.00041 |
Not Rated |
|
111.423.162.684 |
73.699.353 |
BELI |
|
TRAM Consumption Plus Kelas A |
Trimegah Asset Management, PT |
IDR |
1.713,07 |
-2,3990 |
-0,29 |
-4,45 |
7,54 |
-6,04 |
-0,29 |
-6,04 |
-6,64 |
-7,22 |
-1,50 |
21,34 |
24,05 |
71,31 |
Not Rated |
|
|
3.00111 |
Not Rated |
|
132.151.398.437 |
73.711.127 |
BELI |
|
TRAM Strategic Plus Kelas A |
Trimegah Asset Management, PT |
IDR |
2.082,81 |
-0,0553 |
0,15 |
1,09 |
3,08 |
4,16 |
0,15 |
4,16 |
5,83 |
6,21 |
17,02 |
29,76 |
80,92 |
108,28 |
Not Rated |
|
|
3.00097 |
Not Rated |
|
123.403.671.088 |
59.894.583 |
BELI |
|
TRIM Kas 2 Kelas A |
Trimegah Asset Management, PT |
IDR |
1.948,57 |
-5,8226 |
0,01 |
0,49 |
1,43 |
2,78 |
0,01 |
2,78 |
5,52 |
10,54 |
14,79 |
24,53 |
66,23 |
94,86 |
Not Rated |
|
|
4.00067 |
Not Rated |
|
4.279.540.951.130 |
2.207.058.217 |
BELI |
|
Trimegah Balanced Absolute Strategy Kelas A |
Trimegah Asset Management, PT |
IDR |
1.760,86 |
0,2634 |
0,07 |
-0,49 |
15,41 |
-0,40 |
0,07 |
-0,40 |
5,15 |
6,63 |
8,16 |
59,43 |
- |
76,09 |
Not Rated |
|
|
3.50049 |
Not Rated |
|
272.994.786.904 |
154.279.113 |
BELI |
|
Trimegah Dana Obligasi Nusantara |
Trimegah Asset Management, PT |
IDR |
1.145,29 |
18,7591 |
0,01 |
0,97 |
2,48 |
4,41 |
0,01 |
4,41 |
8,64 |
12,54 |
15,36 |
11,53 |
- |
14,53 |
Not Rated |
|
|
4.00121 |
Not Rated |
|
87.727.926.199 |
77.345.461 |
BELI |
|
Trimegah Dana Tetap Syariah Kelas A |
Trimegah Asset Management, PT |
IDR |
1.454,28 |
20,7762 |
0,02 |
0,69 |
2,87 |
4,79 |
0,02 |
4,79 |
9,07 |
14,23 |
23,69 |
42,58 |
- |
45,43 |
Not Rated |
|
|
5.00122 |
Not Rated |
|
3.377.386.951.571 |
2.338.475.476 |
BELI |
|
Trimegah FTSE Indonesia Low Volatility Factor Index |
Trimegah Asset Management, PT |
IDR |
1.065,26 |
-3,5827 |
-0,41 |
-7,35 |
3,94 |
-5,74 |
-0,41 |
-5,74 |
-13,22 |
-16,81 |
-1,71 |
- |
- |
6,53 |
Not Rated |
|
|
3.00116 |
Not Rated |
|
45.977.842.884 |
39.987.566 |
BELI |
|
Trimegah Fixed Income Plan |
Trimegah Asset Management, PT |
IDR |
1.173,68 |
-4,9912 |
0,02 |
-0,22 |
1,17 |
1,98 |
0,02 |
1,98 |
3,52 |
3,72 |
5,91 |
12,62 |
- |
17,37 |
Not Rated |
|
|
3.50113 |
Not Rated |
|
2.823.413.033.059 |
2.400.255.033 |
BELI |