|
Avrist Ada Kas Mutiara |
Avrist Asset Management, PT |
IDR |
1.573,41 |
-15,2679 |
0,01 |
0,29 |
1,00 |
2,16 |
0,22 |
1,68 |
5,01 |
10,79 |
16,25 |
24,35 |
- |
57,34 |
Not Rated |
|
|
3.00141 |
Not Rated |
|
305.729.653.730 |
194.738.169 |
|
Avrist Ada Liquid Syariah |
Avrist Asset Management, PT |
IDR |
1.312,57 |
-8,0625 |
0,01 |
0,24 |
0,95 |
2,12 |
0,15 |
1,63 |
5,23 |
11,28 |
16,14 |
23,44 |
- |
31,26 |
Not Rated |
|
|
3.00134 |
Not Rated |
|
35.070.559.807 |
26.758.777 |
|
Avrist Ada Saham Blue Safir Kelas A |
Avrist Asset Management, PT |
IDR |
628,73 |
-6,3060 |
6,04 |
-21,03 |
-26,45 |
-30,86 |
-15,20 |
-32,19 |
-29,18 |
-41,31 |
-41,99 |
-31,02 |
- |
-37,13 |
Not Rated |
|
|
3.0039 |
Not Rated |
|
19.843.156.991 |
26.764.599 |
|
Avrist Ada Sukuk Berkah Syariah Kelas B |
Avrist Asset Management, PT |
IDR |
993,53 |
- |
0,07 |
-0,58 |
- |
- |
0,05 |
- |
- |
- |
- |
- |
- |
-0,65 |
Not Rated |
|
|
2.50239 |
Not Rated |
|
713.715.374 |
718.749 |
|
Avrist Emerald Stable Fund |
Avrist Asset Management, PT |
IDR |
1.185,29 |
12,2518 |
0,01 |
0,22 |
0,03 |
1,47 |
0,16 |
0,87 |
7,70 |
16,08 |
- |
- |
- |
18,53 |
Not Rated |
|
|
3.00262 |
Not Rated |
|
576.688.551.967 |
487.302.308 |
|
Avrist Prime Bond Fund |
Avrist Asset Management, PT |
IDR |
1.971,00 |
-0,4915 |
0,04 |
-1,17 |
-1,21 |
-0,93 |
-0,14 |
-1,52 |
5,56 |
10,91 |
13,31 |
23,98 |
72,21 |
97,10 |
Not Rated |
|
|
3.50266 |
Not Rated |
|
44.581.479.452 |
22.588.025 |
|
BNI AM Indeks IDX30 |
BNI Asset Management, PT |
IDR |
656,50 |
-4,7198 |
0,71 |
-10,14 |
-15,95 |
-16,13 |
-3,51 |
-15,99 |
-15,08 |
-18,04 |
-24,55 |
-16,90 |
- |
-34,35 |
Not Rated |
|
|
2.50378 |
Not Rated |
|
921.699.217.909 |
1.354.627.676 |
|
BNI-AM Dana Pendapatan Tetap Makara Investasi |
BNI Asset Management, PT |
IDR |
1.228,27 |
-14,9484 |
0,10 |
-1,22 |
-3,28 |
-4,51 |
-0,36 |
-4,17 |
-2,40 |
-0,59 |
-0,63 |
0,10 |
- |
22,83 |
Not Rated |
|
|
1.50231 |
Not Rated |
|
177.719.549.498 |
144.167.909 |
|
BNI-AM Inspiring Equity Fund |
BNI Asset Management, PT |
IDR |
821,09 |
-2,7671 |
2,17 |
-13,56 |
-18,33 |
-15,94 |
-8,54 |
-17,39 |
-7,65 |
-14,07 |
-18,31 |
-13,17 |
-19,77 |
-17,89 |
Not Rated |
|
|
3.00395 |
Not Rated |
|
1.144.526.008.209 |
1.274.818.408 |
|
BNP Paribas Ekuitas |
BNP Paribas Asset Management, PT |
IDR |
15.507,87 |
-5,1890 |
1,45 |
-10,40 |
-16,05 |
-13,37 |
-5,52 |
-14,55 |
-14,18 |
-16,32 |
-18,70 |
-4,44 |
-6,47 |
1.450,79 |
Not Rated |
|
|
2.50371 |
Not Rated |
|
537.819.096.569 |
32.765.714 |
|
BNP Paribas IDX Growth30 |
BNP Paribas Asset Management, PT |
IDR |
996,82 |
-3,4491 |
0,33 |
-7,87 |
-12,88 |
-11,03 |
-2,35 |
-12,07 |
-9,65 |
-10,32 |
-12,48 |
- |
- |
-0,32 |
Not Rated |
|
|
3.00394 |
Not Rated |
|
229.546.425.676 |
224.863.913 |
|
BNP Paribas Infrastruktur Plus |
BNP Paribas Asset Management, PT |
IDR |
2.430,40 |
-4,9461 |
0,83 |
-10,25 |
-16,34 |
-12,71 |
-5,20 |
-14,34 |
-13,39 |
-14,70 |
-17,07 |
-8,58 |
-3,53 |
143,04 |
Not Rated |
|
|
2.50368 |
Not Rated |
|
308.528.005.577 |
120.351.052 |
|
BNP Paribas Pesona |
BNP Paribas Asset Management, PT |
IDR |
21.958,85 |
-4,4837 |
1,66 |
-10,81 |
-16,38 |
-12,03 |
-5,70 |
-14,29 |
-12,48 |
-14,60 |
-17,37 |
-7,89 |
-7,38 |
2.095,89 |
Not Rated |
|
|
3.00383 |
Not Rated |
|
257.027.418.998 |
11.038.248 |
|
BNP Paribas Pesona Syariah |
BNP Paribas Asset Management, PT |
IDR |
2.375,86 |
-1,3743 |
2,67 |
-12,45 |
-16,83 |
-9,18 |
-7,84 |
-11,78 |
-2,12 |
-3,87 |
-3,24 |
5,19 |
2,95 |
137,59 |
Not Rated |
|
|
3.00397 |
Not Rated |
|
221.400.708.474 |
85.879.328 |
|
BNP Paribas Prima II Kelas RK1 |
BNP Paribas Asset Management, PT |
IDR |
3.295,78 |
-3,0335 |
0,09 |
-0,99 |
-1,59 |
-1,23 |
0,06 |
-1,62 |
4,11 |
9,22 |
11,82 |
21,39 |
64,92 |
229,58 |
Not Rated |
|
|
3.0026 |
Not Rated |
|
626.606.537.072 |
190.229.378 |
|
BNP Paribas Prima USD Kelas RK1 |
BNP Paribas Asset Management, PT |
USD |
1,36 |
-3,9081 |
0,13 |
-0,90 |
-1,06 |
-0,37 |
-0,54 |
-0,85 |
3,64 |
7,26 |
9,14 |
1,96 |
23,54 |
35,67 |
Not Rated |
|
|
3.0002 |
Not Rated |
|
230.404.939 |
168.390.526 |
|
BNP Paribas Rupiah Plus |
BNP Paribas Asset Management, PT |
IDR |
2.585,70 |
-55,6304 |
0,00 |
0,14 |
0,57 |
1,31 |
0,11 |
1,01 |
3,24 |
7,21 |
10,55 |
14,02 |
34,65 |
158,57 |
Not Rated |
|
|
2.00119 |
Not Rated |
|
672.805.581.757 |
260.480.279 |
|
BNP Paribas Solaris |
BNP Paribas Asset Management, PT |
IDR |
1.524,27 |
-1,5401 |
8,17 |
-17,04 |
-20,55 |
-12,27 |
-12,33 |
-13,03 |
-8,91 |
-20,51 |
-18,55 |
-27,51 |
-17,60 |
52,43 |
Not Rated |
|
|
4.50416 |
Not Rated |
|
344.596.280.034 |
198.196.065 |
|
BRI Indeks Syariah |
BRI Manajemen Investasi, PT |
IDR |
1.807,70 |
-3,3388 |
1,66 |
-23,58 |
-30,08 |
-31,56 |
-15,08 |
-32,28 |
-17,84 |
-22,65 |
-22,60 |
-21,37 |
-32,81 |
80,77 |
Not Rated |
|
|
3.00387 |
Not Rated |
|
112.119.699.808 |
52.672.631 |
|
BRI MSCI Indonesia ESG Screened Kelas A |
BRI Manajemen Investasi, PT |
IDR |
661,92 |
-8,3805 |
-0,54 |
-14,00 |
-23,65 |
-27,59 |
-6,06 |
-26,27 |
-32,03 |
-34,78 |
-37,83 |
- |
- |
-33,81 |
Not Rated |
|
|
2.00362 |
Not Rated |
|
78.801.801.457 |
111.841.268 |
|
BRI Mawar Konsumer 10 Kelas A |
BRI Manajemen Investasi, PT |
IDR |
1.271,06 |
-3,0642 |
3,70 |
-15,12 |
-19,01 |
-12,32 |
-10,73 |
-17,84 |
-11,06 |
-17,36 |
-21,01 |
-12,90 |
-21,02 |
27,11 |
Not Rated |
|
|
4.0041 |
Not Rated |
|
166.812.985.687 |
117.160.342 |
|
BRI Melati Pendapatan Utama |
BRI Manajemen Investasi, PT |
IDR |
1.964,76 |
-5,9496 |
-0,03 |
-1,11 |
-2,95 |
-3,56 |
-0,35 |
-4,02 |
2,29 |
7,17 |
9,31 |
18,22 |
68,83 |
96,48 |
Not Rated |
|
|
2.50243 |
Not Rated |
|
260.168.754.247 |
131.955.691 |
|
BRI Seruni Pasar Uang III |
BRI Manajemen Investasi, PT |
IDR |
1.878,96 |
-22,7647 |
0,01 |
0,25 |
0,90 |
1,99 |
0,17 |
1,53 |
4,69 |
10,54 |
15,59 |
23,22 |
55,36 |
87,90 |
Not Rated |
|
|
4.00155 |
Not Rated |
|
3.750.656.490.442 |
1.999.595.517 |
|
BRI Seruni Pasar Uang Syariah |
BRI Manajemen Investasi, PT |
IDR |
1.421,48 |
-19,0000 |
0,00 |
0,23 |
0,83 |
1,90 |
0,16 |
1,45 |
4,65 |
10,20 |
15,83 |
23,65 |
- |
42,15 |
Not Rated |
|
|
4.00154 |
Not Rated |
|
2.054.507.126.595 |
1.447.653.784 |
|
Bahana Dana Likuid Kelas G |
Bahana TCW Investment Management, PT |
IDR |
1.979,55 |
-38,3256 |
0,01 |
0,27 |
0,74 |
1,68 |
0,17 |
1,27 |
4,18 |
9,09 |
13,68 |
19,85 |
57,44 |
97,96 |
Not Rated |
|
|
2.00118 |
Not Rated |
|
3.278.433.543.440 |
1.659.034.850 |
|
Bahana Likuid Syariah Kelas G |
Bahana TCW Investment Management, PT |
IDR |
1.287,09 |
-25,2826 |
0,01 |
0,33 |
0,96 |
2,07 |
0,21 |
1,57 |
4,68 |
10,22 |
15,38 |
22,42 |
- |
28,71 |
Not Rated |
|
|
3.50145 |
Not Rated |
|
578.886.399.526 |
450.710.298 |
|
Bahana Obligasi Ganesha Kelas G |
Bahana TCW Investment Management, PT |
IDR |
4.506,26 |
-17,2566 |
0,03 |
-0,90 |
-3,01 |
-4,33 |
-0,34 |
-3,83 |
-2,14 |
5,31 |
8,09 |
17,72 |
54,69 |
350,63 |
Not Rated |
|
|
2.00235 |
Not Rated |
|
2.305.445.923.051 |
509.882.868 |
|
Bahana Obligasi Kehati Lestari Kelas G |
Bahana TCW Investment Management, PT |
IDR |
2.942,08 |
-3,0700 |
0,10 |
-0,97 |
-1,85 |
-2,10 |
0,20 |
-2,54 |
3,57 |
7,79 |
9,74 |
19,24 |
62,19 |
194,21 |
Not Rated |
|
|
3.00249 |
Not Rated |
|
121.441.684.920 |
41.360.026 |
|
Batavia Dana Kas Maxima |
Batavia Prosperindo Aset Manajemen, PT |
IDR |
1.901,29 |
-40,1905 |
0,01 |
0,25 |
0,77 |
1,73 |
0,18 |
1,29 |
4,14 |
9,01 |
13,55 |
19,68 |
53,93 |
90,13 |
Not Rated |
|
|
3.00133 |
Not Rated |
|
17.944.584.099.560 |
9.455.158.559 |
|
Batavia Dana Kas Syariah Kelas A |
Batavia Prosperindo Aset Manajemen, PT |
IDR |
1.166,33 |
-51,9070 |
0,01 |
0,18 |
0,48 |
1,39 |
0,13 |
0,98 |
3,58 |
7,99 |
12,26 |
- |
- |
16,63 |
Not Rated |
|
|
2.50125 |
Not Rated |
|
860.459.764 |
738.720 |
|
Batavia Dana Likuid |
Batavia Prosperindo Aset Manajemen, PT |
IDR |
1.403,19 |
-93,8438 |
0,01 |
0,21 |
0,61 |
1,19 |
0,15 |
0,95 |
2,78 |
6,60 |
9,94 |
13,31 |
29,30 |
40,32 |
Not Rated |
|
|
1.50115 |
Not Rated |
|
221.807.307.170 |
158.316.717 |
|
Batavia Dana Obligasi Ultima |
Batavia Prosperindo Aset Manajemen, PT |
IDR |
2.902,91 |
-13,9738 |
0,05 |
-1,13 |
-2,30 |
-2,93 |
-0,28 |
-2,91 |
-0,69 |
0,56 |
-0,27 |
0,16 |
36,48 |
190,29 |
Not Rated |
|
|
2.00234 |
Not Rated |
|
896.562.539.837 |
307.990.214 |
|
Batavia Dana Saham |
Batavia Prosperindo Aset Manajemen, PT |
IDR |
49.111,64 |
-5,7896 |
2,08 |
-9,09 |
-15,76 |
-12,40 |
-4,53 |
-12,38 |
-16,23 |
-20,49 |
-20,84 |
-11,55 |
-1,50 |
4.811,16 |
Not Rated |
|
|
2.50375 |
Not Rated |
|
1.072.815.650.782 |
20.855.140 |
|
Batavia Dana Saham Optimal |
Batavia Prosperindo Aset Manajemen, PT |
IDR |
2.660,63 |
-4,5833 |
1,71 |
-8,26 |
-14,54 |
-12,96 |
-4,15 |
-11,65 |
-11,96 |
-13,61 |
-14,95 |
-3,95 |
8,97 |
166,06 |
Not Rated |
|
|
3.00385 |
Not Rated |
|
280.513.691.094 |
101.051.923 |
|
Capital Fixed Income Fund |
Capital Asset Management, PT |
IDR |
2.072,08 |
20,2101 |
0,01 |
0,43 |
1,35 |
2,80 |
0,31 |
2,18 |
8,46 |
16,71 |
24,58 |
36,92 |
99,02 |
107,21 |
Not Rated |
|
|
2.50244 |
Not Rated |
|
2.320.790.341.789 |
1.123.543.966 |
|
Capital Money Market Fund |
Capital Asset Management, PT |
IDR |
1.822,78 |
-10,4906 |
0,01 |
0,38 |
1,19 |
2,45 |
0,28 |
1,90 |
5,32 |
11,66 |
18,10 |
29,38 |
77,46 |
82,28 |
Not Rated |
|
|
2.50128 |
Not Rated |
|
897.844.655.767 |
493.948.707 |
|
Capital Regular Income Fund |
Capital Asset Management, PT |
IDR |
1.109,22 |
4,2648 |
0,01 |
0,43 |
0,34 |
1,78 |
0,31 |
1,16 |
7,03 |
- |
- |
- |
- |
10,92 |
Not Rated |
|
|
2.50246 |
Not Rated |
|
10.404.182.037 |
9.409.215 |
|
Capital Sharia Fixed Income |
Capital Asset Management, PT |
IDR |
1.212,18 |
17,9561 |
0,01 |
0,43 |
1,37 |
2,84 |
0,31 |
2,21 |
8,08 |
15,78 |
- |
- |
- |
21,22 |
Not Rated |
|
|
2.50245 |
Not Rated |
|
152.809.303.447 |
126.457.606 |
|
Cipta Andalan Ekuitas |
Ciptadana Asset Management, PT |
IDR |
2.254,95 |
-5,0069 |
0,65 |
-3,83 |
-8,68 |
-7,67 |
0,77 |
-6,92 |
-13,38 |
-13,65 |
-19,71 |
16,65 |
124,15 |
125,50 |
Not Rated |
|
|
3.00384 |
Not Rated |
|
12.753.268.311 |
5.699.466 |
|
Cipta Bond |
Ciptadana Asset Management, PT |
IDR |
1.891,84 |
-5,4131 |
0,10 |
-0,95 |
-1,72 |
-2,19 |
0,32 |
-2,72 |
2,04 |
7,27 |
10,19 |
17,98 |
57,73 |
89,18 |
Not Rated |
|
|
2.5024 |
Not Rated |
|
119.634.771.733 |
63.439.786 |
|
Cipta Dana Cash |
Ciptadana Asset Management, PT |
IDR |
1.839,00 |
-9,5323 |
0,01 |
0,28 |
1,09 |
2,17 |
0,23 |
1,73 |
5,28 |
11,24 |
16,82 |
26,88 |
69,83 |
83,90 |
Not Rated |
|
|
3.00136 |
Not Rated |
|
937.355.403.551 |
510.864.111 |
|
Danamas Pasti |
Sinarmas Asset Management, PT |
IDR |
5.301,94 |
10,0000 |
0,01 |
0,29 |
0,96 |
2,23 |
0,21 |
1,65 |
6,99 |
13,06 |
19,14 |
31,52 |
82,85 |
430,19 |
Not Rated |
|
|
3.50268 |
Not Rated |
|
1.671.389.681.693 |
315.890.283 |
|
Danamas Rupiah Plus |
Sinarmas Asset Management, PT |
IDR |
1.879,03 |
-29,8667 |
0,01 |
0,28 |
0,92 |
1,92 |
0,20 |
1,47 |
4,50 |
9,60 |
14,53 |
23,79 |
59,21 |
87,90 |
Not Rated |
|
|
3.00138 |
Not Rated |
|
1.477.189.822.081 |
787.725.464 |
|
Danamas Stabil |
Sinarmas Asset Management, PT |
IDR |
5.242,24 |
6,0000 |
0,01 |
0,42 |
1,17 |
2,50 |
0,31 |
1,90 |
6,80 |
12,84 |
19,19 |
32,62 |
88,95 |
424,22 |
Not Rated |
|
|
3.50267 |
Not Rated |
|
15.332.595.835.000 |
2.933.759.562 |
|
Danapathi Balance Fund |
Danapathi Asset Management, PT |
IDR |
2.708,87 |
3,6775 |
2,25 |
-8,92 |
-11,55 |
6,16 |
-5,75 |
1,01 |
18,13 |
22,39 |
41,37 |
57,07 |
157,91 |
170,89 |
Not Rated |
|
|
3.50075 |
Not Rated |
|
111.060.769.823 |
38.641.676 |
|
Danapathi Money Market Fund |
Danapathi Asset Management, PT |
IDR |
1.535,56 |
-8,0556 |
0,02 |
0,43 |
1,32 |
2,56 |
0,32 |
2,03 |
5,45 |
11,40 |
17,25 |
26,17 |
- |
53,56 |
Not Rated |
|
|
4.00151 |
Not Rated |
|
397.082.618.173 |
259.405.780 |
|
Eastspring IDR Fixed Income Fund Kelas A |
Eastspring Investments Indonesia, PT |
IDR |
1.851,34 |
-2,6778 |
0,08 |
-0,90 |
-1,50 |
-1,62 |
0,20 |
-1,99 |
4,23 |
9,11 |
11,46 |
21,96 |
75,10 |
85,13 |
Not Rated |
|
|
3.00256 |
Not Rated |
|
209.176.558.532 |
113.214.355 |
|
Eastspring IDX ESG Leaders Plus Kelas A |
Eastspring Investments Indonesia, PT |
IDR |
688,85 |
-8,1732 |
-0,73 |
-15,16 |
-22,44 |
-26,25 |
-9,35 |
-24,72 |
-27,77 |
-31,06 |
-28,81 |
- |
- |
-31,12 |
Not Rated |
|
|
2.50366 |
Not Rated |
|
162.544.732.461 |
213.898.731 |
|
Eastspring Investments Alpha Navigator Kelas A |
Eastspring Investments Indonesia, PT |
IDR |
1.209,44 |
-5,7904 |
2,12 |
-13,03 |
-20,01 |
-21,18 |
-9,02 |
-19,19 |
-18,17 |
-19,63 |
-20,36 |
-6,96 |
5,62 |
20,94 |
Not Rated |
|
|
2.50365 |
Not Rated |
|
726.618.766.698 |
546.611.641 |
|
Eastspring Investments IDR High Grade Kelas A |
Eastspring Investments Indonesia, PT |
IDR |
1.604,75 |
-10,3429 |
0,10 |
-1,44 |
-3,32 |
-5,14 |
-0,16 |
-5,07 |
-2,61 |
-2,49 |
-0,75 |
7,19 |
47,47 |
60,48 |
Not Rated |
|
|
2.00236 |
Not Rated |
|
8.984.960.099.763 |
5.589.948.306 |
|
Eastspring Investments Value Discovery Kelas A |
Eastspring Investments Indonesia, PT |
IDR |
1.002,36 |
-4,6726 |
1,94 |
-16,25 |
-22,41 |
-21,41 |
-11,70 |
-23,95 |
-16,24 |
-21,17 |
-23,71 |
-18,45 |
-0,23 |
0,24 |
Not Rated |
|
|
2.50372 |
Not Rated |
|
299.214.113.354 |
263.587.974 |
|
Eastspring Syariah Fixed Income Amanah Kelas A |
Eastspring Investments Indonesia, PT |
IDR |
1.580,95 |
-2,4524 |
0,02 |
-0,79 |
-1,23 |
-0,76 |
-0,26 |
-1,17 |
4,89 |
8,67 |
12,73 |
20,70 |
- |
58,10 |
Not Rated |
|
|
3.00261 |
Not Rated |
|
691.162.974.661 |
436.052.738 |
|
Eastspring Syariah Fixed Income USD Kelas A |
Eastspring Investments Indonesia, PT |
USD |
0,96 |
-15,3062 |
0,06 |
-0,46 |
-1,37 |
-1,88 |
-0,27 |
-1,13 |
-2,15 |
0,64 |
3,15 |
-4,26 |
- |
-4,33 |
Not Rated |
|
|
1.50013 |
Not Rated |
|
16.392.567 |
17.034.786 |
|
Eastspring Syariah Mixed Asset Fund Kelas A |
Eastspring Investments Indonesia, PT |
IDR |
1.037,49 |
- |
0,22 |
-1,57 |
-1,53 |
0,35 |
-1,11 |
-0,96 |
- |
- |
- |
- |
- |
3,75 |
Not Rated |
|
|
3.50073 |
Not Rated |
|
14.739.095.834 |
14.048.175 |
|
Eastspring Syariah Money Market Khazanah Kelas A |
Eastspring Investments Indonesia, PT |
IDR |
1.216,06 |
-45,5246 |
0,01 |
0,22 |
0,69 |
1,36 |
0,15 |
1,08 |
3,01 |
6,10 |
9,60 |
12,28 |
- |
21,61 |
Not Rated |
|
|
3.00131 |
Not Rated |
|
2.276.952.425 |
1.875.151 |
|
HPAM Flexi Indonesia Sehat Kelas A |
Henan Putihrai Asset Management, PT |
IDR |
2.163,01 |
0,8079 |
0,97 |
-10,87 |
-10,76 |
-13,03 |
-6,63 |
-15,05 |
6,26 |
19,91 |
34,11 |
33,73 |
47,87 |
116,30 |
Not Rated |
|
|
3.00063 |
Not Rated |
|
92.289.483.582 |
39.906.219 |
|
Henan Ultima Ekuitas Kelas A |
Henan Putihrai Asset Management, PT |
IDR |
2.803,02 |
0,6156 |
1,86 |
-18,67 |
-21,18 |
-19,31 |
-12,59 |
-25,77 |
3,18 |
-2,95 |
18,40 |
23,04 |
49,41 |
180,30 |
Not Rated |
|
|
3.50402 |
Not Rated |
|
310.220.932.534 |
96.744.004 |
|
Henan Ultima Money Market |
Henan Putihrai Asset Management, PT |
IDR |
1.729,62 |
-9,6167 |
0,02 |
0,42 |
1,19 |
2,46 |
0,31 |
1,87 |
5,30 |
10,90 |
16,01 |
26,05 |
63,07 |
72,96 |
Not Rated |
|
|
3.0014 |
Not Rated |
|
1.106.735.302.383 |
641.825.326 |
|
I-Hajj Syariah Fund |
Insight Investments Management, PT |
IDR |
5.636,39 |
13,9366 |
0,01 |
0,35 |
0,68 |
2,08 |
0,25 |
1,50 |
8,00 |
16,89 |
24,06 |
42,47 |
104,50 |
463,64 |
Not Rated |
|
|
4.00274 |
Not Rated |
|
2.016.636.701.628 |
358.687.057 |
|
Insight Money |
Insight Investments Management, PT |
IDR |
1.921,05 |
-6,6415 |
0,01 |
0,36 |
1,15 |
2,45 |
0,26 |
1,91 |
5,53 |
12,09 |
18,43 |
30,84 |
81,37 |
92,11 |
Not Rated |
|
|
4.00156 |
Not Rated |
|
537.000.765.723 |
280.272.255 |
|
Insight Money Syariah |
Insight Investments Management, PT |
IDR |
1.763,22 |
-3,5156 |
0,01 |
0,34 |
1,20 |
2,50 |
0,25 |
1,95 |
5,67 |
12,06 |
18,02 |
29,09 |
72,09 |
76,32 |
Not Rated |
|
|
4.00158 |
Not Rated |
|
658.807.202.651 |
374.588.729 |
|
Insight Renewable Energy Fund |
Insight Investments Management, PT |
IDR |
2.555,47 |
17,5736 |
0,01 |
0,38 |
0,82 |
2,30 |
0,27 |
1,66 |
8,31 |
16,93 |
24,26 |
38,32 |
95,78 |
155,55 |
Not Rated |
|
|
4.00275 |
Not Rated |
|
1.280.606.159.611 |
502.483.692 |
|
Investa Dana Dollar Mandiri Kelas A |
Mandiri Manajemen Investasi, PT |
USD |
1,50 |
-3,1446 |
0,17 |
-1,45 |
-2,15 |
-1,95 |
-0,82 |
-2,27 |
3,17 |
3,83 |
5,09 |
-1,23 |
10,91 |
49,66 |
Not Rated |
|
|
2.50016 |
Not Rated |
|
20.457.313 |
13.515.544 |
|
Jarvis Balanced Fund |
Jarvis Aset Manajemen, PT |
IDR |
2.087,27 |
4,4375 |
5,52 |
-16,01 |
-19,05 |
2,25 |
-15,10 |
-10,07 |
27,82 |
19,85 |
20,64 |
27,01 |
- |
108,73 |
Not Rated |
|
|
4.50081 |
Not Rated |
|
134.027.074.087 |
54.515.808 |
|
Jarvis Money Market Fund |
Jarvis Aset Manajemen, PT |
IDR |
1.302,43 |
-77,7879 |
0,01 |
0,23 |
0,71 |
1,44 |
0,17 |
1,13 |
3,23 |
7,14 |
10,27 |
16,58 |
- |
30,24 |
Not Rated |
|
|
2.00117 |
Not Rated |
|
59.070.581.522 |
45.431.607 |
|
KIM Equity Fund |
Korea Investment Management Indonesia, PT |
IDR |
922,64 |
-1,6142 |
1,79 |
-7,02 |
-11,98 |
-7,93 |
-2,70 |
-11,12 |
-1,77 |
-11,29 |
-6,43 |
6,71 |
- |
-7,74 |
Not Rated |
|
|
3.00398 |
Not Rated |
|
37.998.547.273 |
40.071.427 |
|
KIM Fixed Income Fund |
Korea Investment Management Indonesia, PT |
IDR |
1.391,37 |
-3,2581 |
0,10 |
-0,63 |
-2,22 |
-2,02 |
0,26 |
-2,55 |
3,94 |
8,84 |
13,95 |
26,55 |
- |
39,14 |
Not Rated |
|
|
2.50242 |
Not Rated |
|
97.515.745.788 |
70.271.142 |
|
KIM Fixed Income Fund Plus |
Korea Investment Management Indonesia, PT |
IDR |
1.205,99 |
22,7050 |
0,01 |
0,36 |
1,07 |
2,67 |
0,26 |
1,97 |
9,27 |
18,09 |
- |
- |
- |
20,60 |
Not Rated |
|
|
4.50283 |
Not Rated |
|
5.903.429.824.646 |
4.907.799.349 |
|
KIM Money Market Fund |
Korea Investment Management Indonesia, PT |
IDR |
1.380,68 |
-16,8000 |
0,01 |
0,37 |
1,09 |
2,31 |
0,26 |
1,77 |
5,02 |
10,96 |
16,63 |
26,99 |
- |
38,07 |
Not Rated |
|
|
4.50159 |
Not Rated |
|
1.687.432.211.203 |
1.225.366.483 |
|
MNC Dana Lancar |
MNC Asset Management, PT |
IDR |
2.041,70 |
-4,7359 |
0,02 |
0,47 |
1,23 |
2,67 |
0,34 |
2,05 |
5,64 |
11,49 |
16,92 |
26,88 |
65,71 |
104,17 |
Not Rated |
|
|
3.50149 |
Not Rated |
|
149.278.468.045 |
73.366.385 |
|
MNC Dana Likuid |
MNC Asset Management, PT |
IDR |
3.602,51 |
21,6487 |
0,00 |
0,52 |
1,52 |
3,50 |
0,36 |
2,65 |
7,60 |
15,29 |
21,45 |
39,38 |
59,43 |
260,25 |
Not Rated |
|
|
4.00276 |
Not Rated |
|
348.638.397.720 |
97.122.260 |
|
MNC Dana Syariah |
MNC Asset Management, PT |
IDR |
3.923,88 |
17,4588 |
0,00 |
0,47 |
1,28 |
3,56 |
0,33 |
2,54 |
7,48 |
15,04 |
20,45 |
38,38 |
62,67 |
292,39 |
Not Rated |
|
|
4.00278 |
Not Rated |
|
314.240.581.748 |
80.344.962 |
|
Majoris Pasar Uang Syariah Indonesia |
Majoris Asset Management, PT |
IDR |
1.472,81 |
-20,2245 |
0,01 |
0,32 |
1,05 |
2,21 |
0,23 |
1,70 |
4,86 |
10,46 |
15,74 |
25,44 |
- |
47,28 |
Not Rated |
|
|
4.5016 |
Not Rated |
|
2.340.365.797.682 |
1.592.657.889 |
|
Mandiri Indeks FTSE Indonesia ESG Kelas A |
Mandiri Manajemen Investasi, PT |
IDR |
792,01 |
-5,4561 |
-0,17 |
-10,61 |
-17,82 |
-19,91 |
-3,33 |
-19,72 |
-18,65 |
-19,76 |
-23,48 |
- |
- |
-20,80 |
Not Rated |
|
|
2.50367 |
Not Rated |
|
47.280.307.482 |
57.708.933 |
|
Mandiri Investa Atraktif Syariah |
Mandiri Manajemen Investasi, PT |
IDR |
866,46 |
0,0438 |
3,44 |
-14,02 |
-17,49 |
-12,31 |
-10,01 |
-17,11 |
3,59 |
-8,81 |
-9,58 |
-5,09 |
-27,25 |
-13,35 |
Not Rated |
|
|
3.50403 |
Not Rated |
|
107.403.785.008 |
111.552.079 |
|
Mandiri Investa Cerdas Bangsa Kelas B |
Mandiri Manajemen Investasi, PT |
IDR |
758,41 |
-4,7601 |
2,76 |
-12,41 |
-17,36 |
-15,19 |
-7,68 |
-17,49 |
-14,38 |
-17,81 |
- |
- |
- |
-24,16 |
Not Rated |
|
|
2.50374 |
Not Rated |
|
131.192.831.430 |
159.691.509 |
|
Mandiri Investa Dana Obligasi Seri 2 Kelas A |
Mandiri Manajemen Investasi, PT |
IDR |
1.677,58 |
-4,0553 |
0,05 |
-1,02 |
-1,83 |
-2,03 |
-0,04 |
-2,44 |
3,52 |
8,11 |
9,94 |
19,99 |
61,72 |
67,76 |
Not Rated |
|
|
3.00247 |
Not Rated |
|
344.619.335.883 |
205.343.435 |
|
Mandiri Investa Dana Syariah Kelas A |
Mandiri Manajemen Investasi, PT |
IDR |
4.685,61 |
-3,6877 |
0,05 |
-0,89 |
-1,32 |
-0,87 |
-0,15 |
-1,23 |
4,45 |
9,68 |
13,49 |
21,54 |
54,16 |
368,56 |
Not Rated |
|
|
3.00258 |
Not Rated |
|
284.609.522.074 |
60.652.788 |
|
Mandiri Investa Dana Utama Kelas A |
Mandiri Manajemen Investasi, PT |
IDR |
2.406,64 |
-13,7100 |
0,02 |
-1,13 |
-2,38 |
-3,16 |
-0,41 |
-3,13 |
-0,72 |
0,85 |
-0,55 |
-0,96 |
18,67 |
140,66 |
Not Rated |
|
|
2.00237 |
Not Rated |
|
1.197.365.689.279 |
495.499.468 |
|
Mandiri Investa Equity ASEAN 5 Plus |
Mandiri Manajemen Investasi, PT |
IDR |
997,37 |
-4,0965 |
2,00 |
-12,29 |
-17,34 |
-15,82 |
-7,12 |
-18,52 |
-12,21 |
-17,96 |
-26,04 |
-22,85 |
-12,50 |
-0,26 |
Not Rated |
|
|
2.50373 |
Not Rated |
|
61.080.789.766 |
56.881.240 |
|
Mandiri Investa Pasar Uang Kelas A |
Mandiri Manajemen Investasi, PT |
IDR |
1.829,63 |
-59,9730 |
0,00 |
0,13 |
0,49 |
1,38 |
0,09 |
0,91 |
3,59 |
8,26 |
12,50 |
17,17 |
49,22 |
82,96 |
Not Rated |
|
|
2.5012 |
Not Rated |
|
9.780.052.096.280 |
5.350.405.941 |
|
Mandiri Money Market USD |
Mandiri Manajemen Investasi, PT |
USD |
1,10 |
-104,3793 |
0,01 |
0,21 |
0,63 |
1,26 |
0,15 |
0,97 |
2,76 |
6,14 |
9,02 |
- |
- |
9,95 |
Not Rated |
|
|
3.50023 |
Not Rated |
|
553.589.215 |
502.673.366 |
|
Mandiri Pasar Uang Syariah Kelas A |
Mandiri Manajemen Investasi, PT |
IDR |
1.421,09 |
-56,1026 |
0,01 |
0,20 |
0,55 |
1,49 |
0,15 |
0,97 |
3,62 |
8,11 |
12,84 |
18,68 |
- |
42,11 |
Not Rated |
|
|
2.50126 |
Not Rated |
|
581.719.964.342 |
409.953.779 |
|
Manulife Dana Campuran II |
Manulife Aset Manajemen Indonesia, PT |
IDR |
2.607,54 |
-7,2799 |
0,35 |
-6,46 |
-9,92 |
-10,84 |
-3,76 |
-10,69 |
-7,73 |
-9,15 |
-6,59 |
-2,65 |
6,07 |
160,75 |
Not Rated |
|
|
1.0006 |
Not Rated |
|
62.441.340.435 |
23.047.219 |
|
Manulife Dana Saham Kelas A |
Manulife Aset Manajemen Indonesia, PT |
IDR |
8.165,57 |
-4,0716 |
0,91 |
-8,61 |
-14,23 |
-10,85 |
-4,01 |
-11,29 |
-10,29 |
-10,49 |
-21,93 |
-21,18 |
-23,13 |
716,56 |
Not Rated |
|
|
2.5038 |
Not Rated |
|
1.817.188.185.957 |
213.618.148 |
|
Manulife Greater Indonesia Fund |
Manulife Aset Manajemen Indonesia, PT |
USD |
0,79 |
-1,5375 |
0,61 |
-10,86 |
-16,39 |
-17,90 |
-6,20 |
-21,09 |
-2,47 |
-9,54 |
-28,69 |
-35,47 |
-18,60 |
-21,36 |
Not Rated |
|
|
2.50017 |
Not Rated |
|
23.094.426 |
27.460.742 |
|
Manulife Indonesia Money Market Fund Kelas D1 |
Manulife Aset Manajemen Indonesia, PT |
IDR |
903,92 |
-35,8200 |
0,01 |
0,21 |
0,75 |
1,63 |
0,16 |
1,24 |
4,03 |
9,05 |
13,30 |
- |
- |
-9,61 |
Not Rated |
|
|
3.00132 |
Not Rated |
|
4.147.374.434 |
4.595.601 |
|
Manulife Obligasi Negara Indonesia II Kelas A |
Manulife Aset Manajemen Indonesia, PT |
IDR |
3.111,75 |
-4,0869 |
0,09 |
-1,08 |
-1,84 |
-2,08 |
0,04 |
-2,49 |
3,41 |
7,55 |
9,96 |
19,91 |
75,92 |
211,18 |
Not Rated |
|
|
3.00252 |
Not Rated |
|
2.347.639.379.252 |
754.726.857 |
|
Manulife Obligasi Unggulan Kelas A |
Manulife Aset Manajemen Indonesia, PT |
IDR |
2.637,85 |
-15,3555 |
0,04 |
-1,36 |
-3,60 |
-4,24 |
-0,55 |
-3,93 |
-3,03 |
-3,29 |
-8,07 |
-12,83 |
19,90 |
163,79 |
Not Rated |
|
|
2.00233 |
Not Rated |
|
12.349.023.670.983 |
4.655.705.205 |
|
Manulife Pendapatan Bulanan II |
Manulife Aset Manajemen Indonesia, PT |
IDR |
1.132,44 |
-15,0875 |
0,05 |
-1,36 |
-3,03 |
-3,72 |
-0,45 |
-3,54 |
-1,19 |
-0,53 |
-1,70 |
-2,34 |
5,14 |
13,24 |
Not Rated |
|
|
1.5023 |
Not Rated |
|
1.214.815.777.505 |
1.067.911.833 |
|
Manulife Saham Andalan |
Manulife Aset Manajemen Indonesia, PT |
IDR |
1.777,75 |
0,4201 |
0,61 |
-9,61 |
-14,24 |
-12,78 |
-5,33 |
-17,22 |
5,18 |
0,86 |
-14,94 |
-18,17 |
5,12 |
77,78 |
Not Rated |
|
|
3.50401 |
Not Rated |
|
1.137.376.194.703 |
605.717.427 |
|
Manulife Saham SMC Plus |
Manulife Aset Manajemen Indonesia, PT |
IDR |
609,89 |
-1,5387 |
1,68 |
-9,81 |
-13,56 |
-4,68 |
-6,18 |
-7,72 |
-2,19 |
-4,30 |
-8,76 |
-14,85 |
-18,49 |
-39,01 |
Not Rated |
|
|
4.00413 |
Not Rated |
|
47.244.232.879 |
72.677.891 |
|
Manulife Syariah Sektoral Amanah Kelas A |
Manulife Aset Manajemen Indonesia, PT |
IDR |
3.247,63 |
-0,6272 |
2,92 |
-13,07 |
-17,23 |
-10,65 |
-9,17 |
-12,93 |
0,71 |
0,30 |
-6,88 |
-3,36 |
-6,44 |
224,76 |
Not Rated |
|
|
3.504 |
Not Rated |
|
207.579.705.899 |
58.057.804 |
|
Manulife Syariah Sukuk Indonesia |
Manulife Aset Manajemen Indonesia, PT |
IDR |
1.041,56 |
-27,6369 |
-0,01 |
-0,84 |
-1,86 |
-3,04 |
-0,42 |
-2,71 |
-3,19 |
-3,05 |
-4,25 |
-4,91 |
- |
4,16 |
Not Rated |
|
|
1.50229 |
Not Rated |
|
187.812.940.957 |
179.563.084 |
|
Manulife USD Fixed Income Kelas A |
Manulife Aset Manajemen Indonesia, PT |
USD |
1,24 |
-6,9582 |
0,08 |
-1,05 |
-1,39 |
-0,83 |
-0,68 |
-1,33 |
2,42 |
6,48 |
7,50 |
0,83 |
10,99 |
23,65 |
Not Rated |
|
|
3.00018 |
Not Rated |
|
47.032.115 |
37.662.829 |
|
Maybank Dana Ekuitas |
Maybank Asset Management, PT |
IDR |
2.530,72 |
-7,2832 |
2,40 |
-11,41 |
-19,15 |
-21,49 |
-8,04 |
-22,23 |
-21,60 |
-27,24 |
-27,35 |
-21,43 |
-15,96 |
153,07 |
Not Rated |
|
|
1.50359 |
Not Rated |
|
32.417.602.806 |
11.779.504 |
|
Maybank Dana Pasar Uang |
Maybank Asset Management, PT |
IDR |
2.050,73 |
-30,8085 |
0,01 |
0,27 |
0,96 |
1,98 |
0,20 |
1,54 |
4,39 |
9,73 |
14,82 |
23,62 |
67,03 |
105,07 |
Not Rated |
|
|
3.0013 |
Not Rated |
|
495.439.209.427 |
242.072.968 |
|
Maybank Dana Pasti 2 |
Maybank Asset Management, PT |
IDR |
3.048,77 |
-18,1745 |
0,04 |
-1,13 |
-3,35 |
-4,22 |
-0,50 |
-3,89 |
-3,50 |
-1,39 |
-2,27 |
7,84 |
51,30 |
204,88 |
Not Rated |
|
|
1.00228 |
Not Rated |
|
444.097.827.855 |
144.942.607 |
|
Maybank Financial Infobank15 Index Fund Kelas N |
Maybank Asset Management, PT |
IDR |
701,83 |
-6,4120 |
-0,35 |
-7,04 |
-13,54 |
-15,72 |
-0,76 |
-14,60 |
-23,28 |
-23,40 |
- |
- |
- |
-29,82 |
Not Rated |
|
|
2.0036 |
Not Rated |
|
126.266.267.427 |
178.539.958 |
|
Mega Dana Kas |
Mega Asset Management, PT |
IDR |
2.280,24 |
-3,1214 |
0,01 |
0,35 |
1,07 |
2,36 |
0,25 |
1,49 |
5,23 |
11,28 |
17,24 |
27,58 |
73,84 |
128,02 |
Not Rated |
|
|
3.50146 |
Not Rated |
|
490.232.005.875 |
215.530.165 |
|
Mega Dana Pendapatan Tetap |
Mega Asset Management, PT |
IDR |
2.083,40 |
1,4437 |
0,00 |
0,27 |
1,05 |
1,54 |
0,18 |
1,68 |
6,13 |
13,07 |
21,33 |
37,76 |
112,02 |
108,34 |
Not Rated |
|
|
3.5027 |
Not Rated |
|
121.927.111.853 |
58.626.484 |
|
PNM Dana Tunai |
PNM Investment Management, PT |
IDR |
1.791,63 |
-19,5000 |
0,01 |
0,31 |
1,00 |
2,15 |
0,24 |
1,66 |
4,84 |
11,04 |
16,68 |
24,36 |
65,47 |
79,16 |
Not Rated |
|
|
3.50147 |
Not Rated |
|
907.948.034.372 |
507.983.050 |
|
PNM Optima Bulanan |
PNM Investment Management, PT |
IDR |
1.002,32 |
-17,2033 |
-0,39 |
-0,54 |
-1,89 |
-1,87 |
-0,64 |
-1,54 |
-0,61 |
0,22 |
0,17 |
- |
- |
0,23 |
Not Rated |
|
|
3.00251 |
Not Rated |
|
649.949.779.782 |
644.304.282 |
|
Pinnacle Indonesia Bond Fund |
Pinnacle Persada Investama, PT |
IDR |
1.654,02 |
-2,3083 |
0,06 |
-1,02 |
-2,09 |
-2,12 |
0,09 |
-2,46 |
3,79 |
8,96 |
10,66 |
19,62 |
- |
65,40 |
Not Rated |
|
|
2.00238 |
Not Rated |
|
86.458.064.712 |
52.319.100 |
|
Pinnacle Money Market Fund |
Pinnacle Persada Investama, PT |
IDR |
1.669,75 |
-5,1455 |
0,01 |
0,40 |
1,23 |
2,56 |
0,29 |
1,96 |
5,61 |
11,73 |
17,49 |
27,63 |
- |
66,98 |
Not Rated |
|
|
4.00153 |
Not Rated |
|
905.744.757.706 |
544.012.527 |
|
Principal Cash Fund |
Principal Asset Management, PT |
IDR |
1.950,06 |
-32,0375 |
0,00 |
-0,11 |
0,14 |
0,87 |
-0,02 |
0,58 |
3,23 |
7,88 |
12,12 |
18,80 |
55,91 |
95,01 |
Not Rated |
|
|
1.50114 |
Not Rated |
|
210.803.963.060 |
108.077.374 |
|
Principal Index IDX30 |
Principal Asset Management, PT |
IDR |
1.093,38 |
-4,1487 |
0,69 |
-10,21 |
-16,08 |
-16,29 |
-3,60 |
-16,12 |
-12,87 |
-13,94 |
-18,06 |
-9,00 |
-4,53 |
9,34 |
Not Rated |
|
|
3.00382 |
Not Rated |
|
44.052.701.443 |
38.838.995 |
|
Principal Islamic Equity Growth Syariah |
Principal Asset Management, PT |
IDR |
1.080,69 |
-1,5335 |
2,30 |
-16,49 |
-23,52 |
-17,90 |
-12,93 |
-21,37 |
-4,42 |
-5,25 |
-9,35 |
-6,92 |
-23,43 |
8,07 |
Not Rated |
|
|
2.50364 |
Not Rated |
|
66.249.485.129 |
53.379.824 |
|
Prospera Dana Lancar |
Prospera Asset Management, PT |
IDR |
1.677,04 |
-11,6806 |
0,01 |
0,21 |
0,98 |
1,98 |
0,20 |
1,52 |
5,02 |
9,78 |
15,15 |
24,48 |
- |
67,70 |
Not Rated |
|
|
3.00137 |
Not Rated |
|
92.732.507.288 |
55.404.600 |
|
Prospera Obligasi |
Prospera Asset Management, PT |
IDR |
5.357,56 |
-8,5022 |
0,02 |
-0,49 |
-0,59 |
-0,26 |
0,02 |
-0,41 |
3,84 |
10,37 |
13,75 |
28,97 |
79,50 |
435,76 |
Not Rated |
|
|
3.00264 |
Not Rated |
|
77.116.012.996 |
14.397.105 |
|
Prospera Saham SMC |
Prospera Asset Management, PT |
IDR |
1.629,64 |
-1,0650 |
1,85 |
-14,21 |
-15,37 |
-9,00 |
-11,38 |
-11,63 |
0,08 |
5,78 |
8,18 |
28,28 |
- |
62,96 |
Not Rated |
|
|
4.00408 |
Not Rated |
|
90.728.985.397 |
49.338.173 |
|
Reksa Dana Allianz Alpha Sector Rotation Kelas A |
Allianz Global Investors Asset Management Indonesia, PT |
IDR |
1.244,31 |
-4,5757 |
2,69 |
-12,92 |
-19,68 |
-17,70 |
-8,15 |
-18,05 |
-13,10 |
-16,11 |
-19,76 |
-13,97 |
-15,53 |
24,43 |
Not Rated |
|
|
2.00363 |
Not Rated |
|
101.061.221.342 |
74.596.459 |
|
Reksa Dana Allianz Fixed Income Fund 2 |
Allianz Global Investors Asset Management Indonesia, PT |
IDR |
1.705,32 |
-1,0189 |
0,10 |
-1,01 |
-1,56 |
-1,53 |
0,16 |
-2,06 |
5,11 |
11,09 |
14,17 |
25,84 |
- |
70,53 |
Not Rated |
|
|
3.00259 |
Not Rated |
|
97.487.803.723 |
57.258.526 |
|
Reksa Dana Allianz Rupiah Liquid Fund Kelas A |
Allianz Global Investors Asset Management Indonesia, PT |
IDR |
1.872,55 |
-36,6290 |
0,01 |
-0,01 |
0,45 |
1,25 |
0,06 |
0,89 |
3,53 |
8,23 |
12,45 |
16,83 |
49,50 |
87,26 |
Not Rated |
|
|
2.50123 |
Not Rated |
|
33.541.853.717 |
17.923.709 |
|
Reksa Dana Allianz USD Fixed Income Fund Kelas A |
Allianz Global Investors Asset Management Indonesia, PT |
USD |
1,09 |
-18,3295 |
0,03 |
-0,15 |
-0,06 |
0,73 |
-0,08 |
0,43 |
2,61 |
6,73 |
- |
- |
- |
9,47 |
Not Rated |
|
|
3.50022 |
Not Rated |
|
8.752.987 |
7.964.348 |
|
Reksa Dana BNI AM Dana Likuid Kelas A |
BNI Asset Management, PT |
IDR |
2.024,74 |
-21,6035 |
0,01 |
0,29 |
0,78 |
1,81 |
0,24 |
1,35 |
4,59 |
9,59 |
13,79 |
20,70 |
60,08 |
102,47 |
Not Rated |
|
|
2.50121 |
Not Rated |
|
373.364.241.360 |
184.842.178 |
|
Reksa Dana BRI Seruni Pasar Uang II Kelas A |
BRI Manajemen Investasi, PT |
IDR |
1.893,83 |
-35,7708 |
0,01 |
0,20 |
0,74 |
1,70 |
0,15 |
1,30 |
4,11 |
9,25 |
13,82 |
19,86 |
55,01 |
89,38 |
Not Rated |
|
|
3.00139 |
Not Rated |
|
5.090.984.156.106 |
2.692.186.418 |
|
Reksa Dana Bahana Primavera Plus |
Bahana TCW Investment Management, PT |
IDR |
12.236,53 |
0,2073 |
3,87 |
-12,74 |
-15,41 |
-9,20 |
-9,85 |
-15,39 |
4,76 |
-7,12 |
-4,26 |
-0,92 |
-9,22 |
1.123,65 |
Not Rated |
|
|
4.50419 |
Not Rated |
|
56.581.738.602 |
4.168.590 |
|
Reksa Dana Indeks Allianz SRI KEHATI Index Fund |
Allianz Global Investors Asset Management Indonesia, PT |
IDR |
911,48 |
-4,7408 |
-0,61 |
-10,52 |
-15,87 |
-15,96 |
-3,52 |
-16,00 |
-14,65 |
-15,15 |
-21,93 |
3,96 |
- |
-8,85 |
Not Rated |
|
|
3.00389 |
Not Rated |
|
127.540.152.446 |
135.006.135 |
|
Reksa Dana Indeks Avrist IDX30 |
Avrist Asset Management, PT |
IDR |
778,78 |
-4,1697 |
0,68 |
-9,94 |
-16,44 |
-16,75 |
-3,30 |
-16,55 |
-13,01 |
-13,69 |
-17,75 |
-6,68 |
- |
-22,12 |
Not Rated |
|
|
2.50376 |
Not Rated |
|
72.099.584.596 |
89.528.923 |
|
Reksa Dana Indeks BNP Paribas Sri Kehati Kelas RK1 |
BNP Paribas Asset Management, PT |
IDR |
927,65 |
-4,5776 |
-0,60 |
-10,06 |
-15,33 |
-15,34 |
-3,03 |
-15,46 |
-13,83 |
-13,59 |
-19,94 |
7,49 |
- |
-7,24 |
Not Rated |
|
|
3.00388 |
Not Rated |
|
2.384.036.601.800 |
2.492.079.125 |
|
Reksa Dana Indeks Syailendra MSCI Indonesia Value Index Fund Kelas A |
Syailendra Capital, PT |
IDR |
903,99 |
-4,0047 |
-1,07 |
-8,38 |
-15,39 |
-16,51 |
-0,84 |
-15,88 |
-13,65 |
-14,88 |
-21,74 |
0,95 |
- |
-9,60 |
Not Rated |
|
|
3.00386 |
Not Rated |
|
423.327.679.470 |
464.372.184 |
|
Reksa Dana Manulife Dana Kas II Kelas A |
Manulife Aset Manajemen Indonesia, PT |
IDR |
1.904,70 |
-35,9592 |
0,00 |
0,16 |
0,71 |
1,57 |
0,14 |
1,20 |
4,06 |
9,16 |
13,88 |
19,88 |
54,85 |
90,47 |
Not Rated |
|
|
2.00116 |
Not Rated |
|
3.254.178.793.374 |
1.710.959.525 |
|
Reksa Dana Sucorinvest Equity Fund Kelas A |
Sucorinvest Asset Management, PT |
IDR |
2.679,08 |
0,1876 |
0,60 |
-10,95 |
-17,54 |
-3,47 |
-7,03 |
-17,14 |
2,90 |
4,69 |
3,16 |
22,58 |
130,98 |
167,91 |
Not Rated |
|
|
4.50417 |
Not Rated |
|
1.572.659.058.689 |
545.725.368 |
|
Reksa Dana Syailendra Balanced Opportunity Fund Kelas A |
Syailendra Capital, PT |
IDR |
4.291,70 |
6,4798 |
1,25 |
-11,00 |
-14,38 |
-1,88 |
-8,61 |
-5,67 |
29,00 |
35,44 |
42,07 |
45,86 |
107,94 |
329,17 |
Not Rated |
|
|
4.50082 |
Not Rated |
|
1.424.785.381.586 |
303.399.531 |
|
Reksa Dana Syailendra Equity Opportunity Fund Kelas A |
Syailendra Capital, PT |
IDR |
3.931,76 |
-1,3726 |
2,51 |
-14,76 |
-20,26 |
-19,33 |
-11,11 |
-19,88 |
-2,91 |
-0,85 |
-0,01 |
11,57 |
32,79 |
293,18 |
Not Rated |
|
|
3.50407 |
Not Rated |
|
255.569.350.102 |
57.781.541 |
|
Reksa Dana Syariah Bahana Mes Syariah Fund Kelas G |
Bahana TCW Investment Management, PT |
IDR |
1.600,61 |
-3,7139 |
-0,13 |
-0,61 |
-0,73 |
-0,26 |
0,12 |
-0,71 |
4,39 |
6,33 |
9,80 |
18,99 |
- |
60,06 |
Not Rated |
|
|
3.00254 |
Not Rated |
|
122.859.871.485 |
76.846.382 |
|
Reksa Dana Syariah Capital Sharia Money Market |
Capital Asset Management, PT |
IDR |
1.511,02 |
-14,6000 |
0,01 |
0,40 |
1,18 |
2,38 |
0,28 |
1,87 |
5,14 |
11,04 |
16,51 |
25,53 |
- |
51,10 |
Not Rated |
|
|
2.50129 |
Not Rated |
|
56.139.013.411 |
37.257.035 |
|
Reksa Dana Syariah Majoris Sukuk Negara Indonesia |
Majoris Asset Management, PT |
IDR |
1.508,78 |
-2,9789 |
0,02 |
-0,95 |
-1,41 |
-1,19 |
-0,13 |
-1,37 |
4,52 |
9,21 |
14,31 |
21,04 |
- |
50,88 |
Not Rated |
|
|
3.00253 |
Not Rated |
|
282.432.485.905 |
186.952.607 |
|
Reksa Dana Syariah Syailendra Tunai Likuid Syariah |
Syailendra Capital, PT |
IDR |
1.244,36 |
-25,3208 |
0,01 |
0,29 |
0,96 |
1,85 |
0,21 |
1,51 |
4,50 |
9,12 |
14,50 |
- |
- |
24,44 |
Not Rated |
|
|
2.50127 |
Not Rated |
|
10.876.737.042 |
8.759.018 |
|
Reksa Dana UOBAM ESG Pasar Uang Indonesia |
UOB Asset Management Indonesia, PT |
IDR |
1.208,20 |
-25,4333 |
0,00 |
0,15 |
0,81 |
1,83 |
0,14 |
1,37 |
4,31 |
9,05 |
13,57 |
18,46 |
- |
20,82 |
Not Rated |
|
|
3.00144 |
Not Rated |
|
581.624.665.390 |
482.085.741 |
|
Reksa Dana UOBAM Indeks Bisnis-27 |
UOB Asset Management Indonesia, PT |
IDR |
1.142,14 |
-4,1973 |
0,52 |
-10,26 |
-16,07 |
-17,65 |
-3,28 |
-18,37 |
-13,37 |
-15,03 |
-19,11 |
5,60 |
8,53 |
14,21 |
Not Rated |
|
|
2.50377 |
Not Rated |
|
220.557.202.854 |
186.770.686 |
|
Rencana Cerdas |
Ciptadana Asset Management, PT |
IDR |
15.583,04 |
-3,4120 |
0,49 |
-6,92 |
-10,40 |
-8,02 |
-2,76 |
-6,82 |
-7,42 |
-5,97 |
-12,22 |
9,29 |
22,94 |
1.458,30 |
Not Rated |
|
|
3.00393 |
Not Rated |
|
50.381.152.353 |
3.143.923 |
|
STAR Fixed Income Dollar |
Surya Timur Alam Raya Asset Management, PT |
USD |
1,09 |
-28,1207 |
0,01 |
0,28 |
0,83 |
1,75 |
0,20 |
1,32 |
4,20 |
9,57 |
14,83 |
-4,14 |
- |
8,74 |
Not Rated |
|
|
4.00026 |
Not Rated |
|
17.209.161 |
15.808.609 |
|
STAR Fixed Income NEO AI Dollar |
Surya Timur Alam Raya Asset Management, PT |
USD |
1,02 |
- |
0,07 |
1,35 |
2,45 |
- |
0,66 |
- |
- |
- |
- |
- |
- |
1,75 |
Not Rated |
|
|
4.00025 |
Not Rated |
|
702.811 |
693.121 |
|
STAR Infobank 15 Kelas Utama |
Surya Timur Alam Raya Asset Management, PT |
IDR |
769,90 |
-6,0210 |
-0,36 |
-6,94 |
-13,63 |
-15,56 |
-0,53 |
-14,39 |
-22,59 |
-22,64 |
- |
- |
- |
-23,01 |
Not Rated |
|
|
2.00361 |
Not Rated |
|
41.055.578.622 |
53.041.558 |
|
STAR Money Market Kelas Utama |
Surya Timur Alam Raya Asset Management, PT |
IDR |
1.525,31 |
-22,0417 |
0,01 |
0,34 |
1,02 |
2,16 |
0,25 |
1,63 |
4,79 |
10,88 |
16,17 |
26,38 |
- |
52,53 |
Not Rated |
|
|
4.0015 |
Not Rated |
|
202.976.910.286 |
133.399.410 |
|
STAR Stable Amanah Sukuk |
Surya Timur Alam Raya Asset Management, PT |
IDR |
1.203,73 |
14,1048 |
0,01 |
0,38 |
0,85 |
2,20 |
0,28 |
1,60 |
7,47 |
15,95 |
- |
- |
- |
20,37 |
Not Rated |
|
|
4.50282 |
Not Rated |
|
1.577.443.453.590 |
1.314.097.313 |
|
STAR Stable Income Fund Kelas Utama |
Surya Timur Alam Raya Asset Management, PT |
IDR |
2.212,17 |
15,7222 |
0,01 |
0,41 |
1,17 |
2,52 |
0,29 |
1,91 |
7,40 |
14,87 |
21,77 |
48,63 |
121,22 |
121,22 |
Not Rated |
|
|
4.00281 |
Not Rated |
|
14.037.997.429.043 |
6.364.438.603 |
|
Schroder 90 Plus Equity Fund |
Schroder Investment Management Indonesia, PT |
IDR |
1.747,76 |
-2,4053 |
2,66 |
-11,23 |
-16,11 |
-12,58 |
-7,14 |
-14,25 |
-6,54 |
-13,14 |
-15,75 |
-4,24 |
-2,28 |
74,78 |
Not Rated |
|
|
3.50404 |
Not Rated |
|
386.309.236.966 |
205.254.900 |
|
Schroder Dana Andalan II |
Schroder Investment Management Indonesia, PT |
IDR |
1.093,82 |
-24,6992 |
-0,02 |
-0,67 |
-1,07 |
-1,21 |
-0,39 |
-1,16 |
-0,09 |
1,05 |
1,26 |
-0,31 |
3,35 |
9,38 |
Not Rated |
|
|
3.00257 |
Not Rated |
|
291.612.816.555 |
265.569.261 |
|
Schroder Dana Istimewa |
Schroder Investment Management Indonesia, PT |
IDR |
6.120,92 |
-0,0696 |
2,34 |
-15,17 |
-19,32 |
-10,35 |
-10,14 |
-16,37 |
2,04 |
-3,33 |
-10,69 |
-9,00 |
-5,05 |
512,09 |
Not Rated |
|
|
4.50418 |
Not Rated |
|
304.192.870.264 |
44.659.128 |
|
Schroder Dana Kombinasi |
Schroder Investment Management Indonesia, PT |
IDR |
4.542,42 |
-3,5764 |
0,52 |
-2,09 |
-3,45 |
-1,58 |
-0,45 |
-2,19 |
0,21 |
-1,88 |
1,14 |
8,79 |
44,46 |
354,24 |
Not Rated |
|
|
3.00065 |
Not Rated |
|
283.311.369.166 |
62.092.267 |
|
Schroder Dana Likuid |
Schroder Investment Management Indonesia, PT |
IDR |
1.695,82 |
-33,8630 |
0,00 |
0,00 |
0,34 |
1,05 |
0,04 |
0,73 |
3,33 |
7,66 |
11,59 |
15,61 |
41,29 |
69,58 |
Not Rated |
|
|
2.50124 |
Not Rated |
|
676.207.864.209 |
398.887.446 |
|
Schroder Dana Mantap Plus II |
Schroder Investment Management Indonesia, PT |
IDR |
2.837,93 |
-6,4665 |
0,07 |
-0,73 |
-3,60 |
-3,30 |
0,05 |
-3,69 |
-0,19 |
-1,04 |
-3,62 |
-2,28 |
33,41 |
183,79 |
Not Rated |
|
|
3.00255 |
Not Rated |
|
953.443.145.801 |
336.141.722 |
|
Schroder Dana Prestasi |
Schroder Investment Management Indonesia, PT |
IDR |
37.429,71 |
-1,5538 |
3,21 |
-11,67 |
-15,63 |
-6,75 |
-7,71 |
-10,89 |
-3,20 |
-9,56 |
-12,32 |
5,54 |
15,18 |
3.642,97 |
Not Rated |
|
|
4.00411 |
Not Rated |
|
866.691.072.428 |
21.368.901 |
|
Schroder Dana Prestasi Plus |
Schroder Investment Management Indonesia, PT |
IDR |
29.857,89 |
-2,5417 |
3,28 |
-12,64 |
-17,18 |
-10,57 |
-9,48 |
-13,17 |
-6,58 |
-10,78 |
-13,58 |
6,71 |
10,12 |
2.885,79 |
Not Rated |
|
|
3.50405 |
Not Rated |
|
2.648.158.712.099 |
80.281.303 |
|
Schroder Dana Terpadu II |
Schroder Investment Management Indonesia, PT |
IDR |
4.657,39 |
-3,1079 |
1,40 |
-6,14 |
-8,97 |
-5,44 |
-3,18 |
-7,48 |
-1,57 |
-0,89 |
-0,90 |
15,62 |
48,77 |
365,74 |
Not Rated |
|
|
2.50061 |
Not Rated |
|
449.019.822.121 |
93.344.360 |
|
Schroder Dynamic Balanced Fund |
Schroder Investment Management Indonesia, PT |
IDR |
1.659,63 |
-2,4842 |
2,31 |
-8,61 |
-12,09 |
-6,56 |
-4,95 |
-9,78 |
-3,00 |
-3,16 |
-3,67 |
12,30 |
45,03 |
65,96 |
Not Rated |
|
|
3.00064 |
Not Rated |
|
90.420.827.562 |
51.786.634 |
|
Schroder Syariah Balanced Fund |
Schroder Investment Management Indonesia, PT |
IDR |
2.881,45 |
1,3657 |
1,36 |
-6,42 |
-9,66 |
-4,37 |
-4,51 |
-8,67 |
8,57 |
12,74 |
10,65 |
20,61 |
27,40 |
188,15 |
Not Rated |
|
|
3.50074 |
Not Rated |
|
208.896.765.403 |
69.231.398 |
|
Sequis Bond Optima |
Sequis Aset Manajemen, PT |
IDR |
1.566,58 |
-4,0479 |
0,04 |
-0,97 |
-1,84 |
-2,06 |
0,08 |
-2,35 |
3,27 |
7,76 |
9,88 |
17,22 |
- |
56,66 |
Not Rated |
|
|
3.0025 |
Not Rated |
|
54.840.332.575 |
35.035.711 |
|
Sequis Equity Maxima |
Sequis Aset Manajemen, PT |
IDR |
748,75 |
-5,7757 |
2,61 |
-9,51 |
-16,35 |
-12,64 |
-6,00 |
-13,37 |
-16,32 |
-20,53 |
-22,03 |
-11,31 |
- |
-25,13 |
Not Rated |
|
|
3.00381 |
Not Rated |
|
225.095.803.403 |
282.592.936 |
|
Setiabudi Dana Campuran |
Setiabudi Investment Management, PT |
IDR |
1.556,48 |
-0,2302 |
0,57 |
-9,64 |
-10,67 |
-4,44 |
-6,57 |
-5,50 |
4,20 |
12,16 |
19,82 |
53,99 |
- |
55,65 |
Not Rated |
|
|
3.00068 |
Not Rated |
|
71.723.188.334 |
43.050.906 |
|
Setiabudi Dana Pasar Uang |
Setiabudi Investment Management, PT |
IDR |
1.617,54 |
-12,1346 |
0,01 |
0,39 |
1,22 |
2,49 |
0,28 |
1,93 |
5,24 |
11,10 |
16,81 |
25,68 |
- |
61,75 |
Not Rated |
|
|
4.00152 |
Not Rated |
|
573.200.397.591 |
355.355.042 |
|
Simas Danamas Saham |
Sinarmas Asset Management, PT |
IDR |
1.972,27 |
1,2293 |
3,07 |
-15,39 |
-16,90 |
-9,17 |
-11,38 |
-16,59 |
10,29 |
5,22 |
30,01 |
40,42 |
28,47 |
97,23 |
Not Rated |
|
|
4.00414 |
Not Rated |
|
158.660.525.844 |
71.288.423 |
|
Simas Saham Unggulan |
Sinarmas Asset Management, PT |
IDR |
1.196,07 |
-0,1338 |
2,34 |
-12,75 |
-15,48 |
-5,37 |
-9,08 |
-15,73 |
2,80 |
-7,87 |
-8,03 |
-4,69 |
-10,16 |
19,61 |
Not Rated |
|
|
4.00409 |
Not Rated |
|
579.467.386.644 |
440.510.090 |
|
Simas Satu |
Sinarmas Asset Management, PT |
IDR |
9.407,94 |
5,4777 |
1,83 |
-7,23 |
-6,88 |
11,07 |
-5,71 |
-4,80 |
29,62 |
27,57 |
27,02 |
34,88 |
76,49 |
840,79 |
Not Rated |
|
|
3.50077 |
Not Rated |
|
78.000.173.593 |
7.817.844 |
|
Simas Syariah Pendapatan Tetap |
Sinarmas Asset Management, PT |
IDR |
1.445,33 |
9,8617 |
0,01 |
0,34 |
1,13 |
2,59 |
0,25 |
1,96 |
6,88 |
13,44 |
19,51 |
32,14 |
- |
44,53 |
Not Rated |
|
|
3.50272 |
Not Rated |
|
139.932.181.262 |
97.056.237 |
|
Simas Syariah Unggulan |
Sinarmas Asset Management, PT |
IDR |
608,20 |
-0,4442 |
3,87 |
-13,94 |
-18,42 |
-25,95 |
-12,91 |
-24,85 |
-0,47 |
-0,25 |
-0,55 |
0,94 |
-32,59 |
-39,18 |
Not Rated |
|
|
3.00392 |
Not Rated |
|
50.563.194.848 |
72.400.286 |
|
Sucorinvest Anak Pintar |
Sucorinvest Asset Management, PT |
IDR |
3.730,33 |
3,9623 |
2,55 |
-8,82 |
-15,18 |
-4,17 |
-5,33 |
-13,98 |
20,71 |
39,64 |
32,61 |
76,06 |
- |
273,03 |
Not Rated |
|
|
3.50076 |
Not Rated |
|
419.382.651.944 |
106.432.122 |
|
Sucorinvest Bond Fund |
Sucorinvest Asset Management, PT |
IDR |
1.699,95 |
6,0902 |
-0,43 |
-0,85 |
-1,34 |
1,82 |
-0,03 |
-0,84 |
9,78 |
12,59 |
7,18 |
14,75 |
- |
70,00 |
Not Rated |
|
|
3.50271 |
Not Rated |
|
515.324.493.098 |
303.041.106 |
|
Sucorinvest Citra Dana Berimbang |
Sucorinvest Asset Management, PT |
IDR |
2.947,40 |
4,9558 |
2,10 |
-9,24 |
-13,25 |
-1,80 |
-6,78 |
-10,21 |
26,04 |
35,41 |
28,20 |
60,46 |
- |
194,74 |
Not Rated |
|
|
4.5008 |
Not Rated |
|
215.033.751.746 |
68.010.672 |
|
Sucorinvest Flexi Fund |
Sucorinvest Asset Management, PT |
IDR |
6.463,06 |
2,4713 |
1,10 |
-8,95 |
-13,37 |
-7,84 |
-7,90 |
-16,08 |
14,63 |
7,08 |
4,49 |
19,51 |
157,70 |
546,31 |
Not Rated |
|
|
4.00079 |
Not Rated |
|
128.814.656.545 |
18.355.513 |
|
Sucorinvest IDX30 |
Sucorinvest Asset Management, PT |
IDR |
829,88 |
-5,0717 |
0,39 |
-10,28 |
-16,02 |
-16,86 |
-3,61 |
-16,55 |
-16,72 |
-16,14 |
-19,43 |
- |
- |
-17,01 |
Not Rated |
|
|
2.50379 |
Not Rated |
|
28.455.097.361 |
33.050.564 |
|
Sucorinvest Maxi Fund |
Sucorinvest Asset Management, PT |
IDR |
2.526,54 |
6,8576 |
2,15 |
-8,19 |
-13,84 |
4,46 |
-4,09 |
-7,16 |
40,34 |
59,25 |
40,33 |
52,54 |
206,79 |
152,65 |
Not Rated |
|
|
5.0042 |
Not Rated |
|
1.178.968.795.669 |
447.569.191 |
|
Sucorinvest Money Market Fund |
Sucorinvest Asset Management, PT |
IDR |
1.966,76 |
-20,0000 |
0,01 |
0,30 |
0,98 |
2,12 |
0,21 |
1,59 |
4,90 |
10,85 |
15,37 |
25,56 |
75,34 |
96,68 |
Not Rated |
|
|
3.00142 |
Not Rated |
|
12.054.300.152.208 |
6.142.075.963 |
|
Sucorinvest Monthly Income Fund Kelas A |
Sucorinvest Asset Management, PT |
IDR |
1.093,66 |
-17,1192 |
0,02 |
-0,68 |
-1,32 |
-1,16 |
-0,61 |
-1,42 |
-0,57 |
2,53 |
5,62 |
- |
- |
9,37 |
Not Rated |
|
|
3.00248 |
Not Rated |
|
4.646.061.133.891 |
4.222.422.635 |
|
Sucorinvest Premium Fund Kelas A |
Sucorinvest Asset Management, PT |
IDR |
1.737,45 |
4,8380 |
0,02 |
-0,50 |
0,10 |
2,26 |
-0,39 |
1,14 |
6,62 |
12,34 |
18,13 |
53,19 |
70,66 |
73,75 |
Not Rated |
|
|
3.00067 |
Not Rated |
|
1.328.674.533.331 |
761.732.702 |
|
Sucorinvest Sharia Balanced Fund |
Sucorinvest Asset Management, PT |
IDR |
1.238,48 |
11,3923 |
0,03 |
-0,39 |
0,33 |
2,58 |
-0,45 |
1,45 |
7,47 |
14,32 |
22,40 |
15,57 |
- |
23,85 |
Not Rated |
|
|
3.5007 |
Not Rated |
|
1.556.327.464.879 |
1.251.008.437 |
|
Sucorinvest Sharia Equity Fund |
Sucorinvest Asset Management, PT |
IDR |
1.756,80 |
1,6824 |
2,96 |
-14,61 |
-21,72 |
-8,85 |
-9,63 |
-20,87 |
10,06 |
7,56 |
-3,57 |
-8,51 |
97,53 |
75,68 |
Not Rated |
|
|
3.00391 |
Not Rated |
|
1.054.504.035.649 |
542.424.810 |
|
Sucorinvest Sharia Money Market Fund |
Sucorinvest Asset Management, PT |
IDR |
1.479,58 |
-28,5778 |
0,01 |
0,30 |
0,96 |
2,06 |
0,21 |
1,58 |
4,56 |
10,26 |
14,88 |
24,30 |
- |
47,96 |
Not Rated |
|
|
4.00157 |
Not Rated |
|
8.195.265.786.218 |
5.550.566.825 |
|
Sucorinvest Sharia Sukuk Fund Kelas A |
Sucorinvest Asset Management, PT |
IDR |
1.292,07 |
-2,6500 |
0,02 |
-0,19 |
0,49 |
2,17 |
-0,15 |
1,45 |
5,68 |
12,65 |
17,68 |
- |
- |
29,21 |
Not Rated |
|
|
4.0028 |
Not Rated |
|
5.579.075.449.399 |
4.311.619.305 |
|
Sucorinvest Stable Fund |
Sucorinvest Asset Management, PT |
IDR |
1.447,12 |
1,1647 |
0,09 |
0,01 |
0,58 |
2,40 |
0,07 |
1,61 |
6,01 |
10,80 |
14,18 |
29,80 |
- |
44,71 |
Not Rated |
|
|
4.00277 |
Not Rated |
|
2.188.362.476.557 |
1.513.223.059 |
|
Sucorinvest Sustainability Equity Fund |
Sucorinvest Asset Management, PT |
IDR |
1.357,06 |
1,8040 |
2,23 |
-10,10 |
-15,86 |
-5,40 |
-5,36 |
-10,46 |
12,53 |
29,68 |
42,42 |
- |
- |
35,71 |
Not Rated |
|
|
4.50415 |
Not Rated |
|
32.956.454.225 |
22.983.375 |
|
Syailendra Dana Kas |
Syailendra Capital, PT |
IDR |
1.800,53 |
-17,4528 |
0,01 |
0,41 |
1,00 |
2,09 |
0,29 |
1,55 |
4,93 |
10,22 |
15,19 |
24,41 |
67,96 |
80,05 |
Not Rated |
|
|
2.50122 |
Not Rated |
|
2.725.697.856.708 |
1.518.192.504 |
|
Syailendra Equity Platinum Fund Kelas B |
Syailendra Capital, PT |
IDR |
949,51 |
-2,6647 |
0,91 |
-12,56 |
-18,27 |
-16,37 |
-8,38 |
-17,37 |
-6,05 |
- |
- |
- |
- |
-5,05 |
Not Rated |
|
|
3.00396 |
Not Rated |
|
25.849.183.242 |
24.941.732 |
|
Syailendra Fixed Income Fund Kelas A |
Syailendra Capital, PT |
IDR |
2.734,79 |
-3,5765 |
0,06 |
-0,93 |
-2,18 |
-1,96 |
0,18 |
-2,53 |
3,31 |
8,57 |
10,89 |
21,88 |
73,79 |
173,48 |
Not Rated |
|
|
1.50232 |
Not Rated |
|
165.237.491.598 |
60.528.579 |
|
Syailendra Pendapatan Tetap Premium Kelas A |
Syailendra Capital, PT |
IDR |
1.966,07 |
-0,1033 |
-0,02 |
-0,45 |
0,16 |
1,16 |
0,04 |
0,70 |
5,85 |
12,08 |
16,42 |
32,55 |
- |
96,61 |
Not Rated |
|
|
3.50265 |
Not Rated |
|
2.460.359.698.628 |
1.251.876.545 |
|
Syailendra Pendapatan Total Return Kelas A |
Syailendra Capital, PT |
IDR |
1.061,82 |
-4,4586 |
0,00 |
-0,04 |
0,49 |
1,47 |
0,23 |
1,12 |
2,86 |
5,18 |
- |
- |
- |
6,18 |
Not Rated |
|
|
4.00279 |
Not Rated |
|
1.109.872.991.131 |
1.047.674.348 |
|
Syailendra Sharia Fixed Income Fund Kelas A |
Syailendra Capital, PT |
IDR |
1.169,48 |
3,7173 |
0,02 |
-0,39 |
0,25 |
1,80 |
-0,13 |
1,23 |
6,64 |
15,60 |
- |
- |
- |
16,95 |
Not Rated |
|
|
5.00284 |
Not Rated |
|
3.325.314.562.548 |
2.839.874.787 |
|
Syailendra Sharia Money Market Fund |
Syailendra Capital, PT |
IDR |
1.523,59 |
-20,8776 |
0,01 |
0,30 |
0,87 |
1,97 |
0,21 |
1,45 |
4,83 |
10,21 |
15,55 |
25,27 |
- |
52,36 |
Not Rated |
|
|
3.00135 |
Not Rated |
|
1.464.269.205.457 |
963.064.645 |
|
TRAM Alpha |
Trimegah Asset Management, PT |
IDR |
1.585,99 |
-0,3196 |
1,21 |
-4,63 |
-7,19 |
-0,86 |
-3,11 |
-2,59 |
4,89 |
5,24 |
10,19 |
19,25 |
52,56 |
58,60 |
Not Rated |
|
|
3.50072 |
Not Rated |
|
120.506.220.080 |
73.621.220 |
|
TRAM Consumption Plus Kelas A |
Trimegah Asset Management, PT |
IDR |
1.823,16 |
-0,4880 |
2,80 |
-12,49 |
-17,00 |
-11,86 |
-7,15 |
-16,75 |
1,48 |
-1,10 |
1,07 |
9,42 |
28,52 |
82,32 |
Not Rated |
|
|
3.50399 |
Not Rated |
|
106.918.563.879 |
54.450.624 |
|
TRAM Strategic Plus Kelas A |
Trimegah Asset Management, PT |
IDR |
2.113,30 |
-4,9984 |
0,06 |
-1,03 |
-1,80 |
-2,11 |
0,09 |
-2,44 |
2,67 |
7,17 |
9,43 |
20,25 |
67,11 |
111,33 |
Not Rated |
|
|
2.50241 |
Not Rated |
|
152.381.361.274 |
72.170.928 |
|
TRIM Dana Tetap 2 Kelas A |
Trimegah Asset Management, PT |
IDR |
3.434,67 |
-8,2814 |
0,02 |
-0,85 |
-1,50 |
-0,91 |
-0,14 |
-1,17 |
3,59 |
11,40 |
16,52 |
27,58 |
76,32 |
243,47 |
Not Rated |
|
|
3.00263 |
Not Rated |
|
2.168.524.099.701 |
630.464.127 |
|
TRIM Kapital |
Trimegah Asset Management, PT |
IDR |
9.721,59 |
-3,4865 |
3,00 |
-12,35 |
-17,75 |
-15,73 |
-6,63 |
-16,73 |
-9,67 |
-15,86 |
-16,35 |
3,52 |
18,93 |
872,16 |
Not Rated |
|
|
2.5037 |
Not Rated |
|
267.412.944.926 |
25.683.798 |
|
TRIM Kapital Plus |
Trimegah Asset Management, PT |
IDR |
4.244,23 |
-1,8133 |
4,38 |
-13,37 |
-18,20 |
-12,22 |
-8,73 |
-14,30 |
-4,25 |
-1,05 |
3,10 |
25,61 |
54,19 |
324,42 |
Not Rated |
|
|
3.50406 |
Not Rated |
|
588.274.071.482 |
126.506.100 |
|
TRIM Kas 2 Kelas A |
Trimegah Asset Management, PT |
IDR |
2.027,62 |
-25,7391 |
0,01 |
0,31 |
0,94 |
2,05 |
0,23 |
1,55 |
4,66 |
10,42 |
15,50 |
24,47 |
62,63 |
102,76 |
Not Rated |
|
|
3.50148 |
Not Rated |
|
9.952.355.000.002 |
4.919.693.757 |
|
TRIM Kombinasi 2 |
Trimegah Asset Management, PT |
IDR |
2.782,71 |
0,5985 |
1,95 |
-17,13 |
-20,37 |
-9,91 |
-12,65 |
-17,23 |
5,87 |
3,68 |
11,39 |
18,29 |
54,96 |
178,27 |
Not Rated |
|
|
3.50071 |
Not Rated |
|
95.685.656.451 |
30.034.830 |
|
TRIM Syariah Berimbang |
Trimegah Asset Management, PT |
IDR |
3.429,55 |
0,8685 |
1,48 |
-18,10 |
-20,58 |
-7,67 |
-14,20 |
-14,88 |
7,03 |
10,28 |
15,76 |
19,46 |
49,48 |
242,96 |
Not Rated |
|
|
3.50078 |
Not Rated |
|
173.135.629.316 |
43.315.422 |
|
TRIM Syariah Saham |
Trimegah Asset Management, PT |
IDR |
1.753,20 |
0,4857 |
2,37 |
-23,19 |
-27,67 |
-17,02 |
-17,99 |
-22,90 |
2,82 |
-1,38 |
-3,62 |
-2,01 |
12,90 |
75,32 |
Not Rated |
|
|
4.00412 |
Not Rated |
|
468.601.478.999 |
219.191.241 |
|
Trimegah Balanced Absolute Strategy Kelas A |
Trimegah Asset Management, PT |
IDR |
1.816,11 |
0,1119 |
2,18 |
-17,60 |
-20,81 |
-12,62 |
-12,95 |
-17,86 |
3,32 |
4,09 |
12,46 |
23,24 |
- |
81,61 |
Not Rated |
|
|
3.00069 |
Not Rated |
|
578.516.283.849 |
277.304.467 |
|
Trimegah Dana Obligasi Nusantara |
Trimegah Asset Management, PT |
IDR |
1.212,65 |
4,1028 |
0,04 |
-0,45 |
-0,14 |
1,09 |
0,21 |
0,52 |
7,10 |
15,83 |
19,34 |
14,06 |
- |
21,27 |
Not Rated |
|
|
5.00285 |
Not Rated |
|
257.615.937.697 |
212.889.832 |
|
Trimegah Dana Tetap Syariah Kelas A |
Trimegah Asset Management, PT |
IDR |
1.509,06 |
-4,0277 |
0,03 |
-0,73 |
-0,81 |
-0,09 |
-0,03 |
-0,39 |
4,65 |
13,79 |
20,49 |
35,29 |
- |
50,91 |
Not Rated |
|
|
3.50269 |
Not Rated |
|
6.536.289.914.288 |
4.330.179.440 |
|
Trimegah FTSE Indonesia Low Volatility Factor Index Kelas A |
Trimegah Asset Management, PT |
IDR |
920,65 |
-6,1808 |
-0,53 |
-8,17 |
-14,80 |
-17,11 |
-0,92 |
-16,85 |
-20,30 |
-24,38 |
-27,64 |
-0,34 |
- |
-7,94 |
Not Rated |
|
|
2.50369 |
Not Rated |
|
21.970.030.344 |
23.644.245 |
|
Trimegah Fixed Income Plan |
Trimegah Asset Management, PT |
IDR |
1.175,19 |
-11,4216 |
0,02 |
-0,67 |
-1,85 |
-2,23 |
-0,08 |
-1,52 |
0,11 |
3,27 |
3,45 |
8,77 |
- |
17,52 |
Not Rated |
|
|
4.00273 |
Not Rated |
|
8.717.162.618.818 |
7.411.369.305 |
|
Trimegah Kas Syariah |
Trimegah Asset Management, PT |
IDR |
1.523,70 |
-24,3261 |
0,01 |
0,32 |
0,95 |
2,09 |
0,23 |
1,56 |
4,73 |
10,32 |
15,63 |
24,16 |
- |
52,37 |
Not Rated |
|
|
3.00143 |
Not Rated |
|
2.249.619.208.886 |
1.479.843.076 |