Mandiri Aktif
MANDIRI AKTIF provide long term capital appreciation through investment in equity and fixed income instrument.
1,751.64 IDR NAB/Unit NAV/Unit

25.06 IDR
1.43 %
per tanggal as of 2021-01-20
1 bulan | 3 bulan | 6 bulan | 1 tahun | Sejak awal tahun | Sejak peluncuran |
1 month | 3 months | 6 months | 1 year | Year to date | Since inception |
+ 2.15% | + 16.00% | + 18.35% | + 7.73% | + 3.90% | + 75.16% |
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Sector Allocation
(5 Biggest Sectors)
Feature
Effective Date | 13-Aug-12 |
Launch Date (NAV 1,000) | 05-Nov-12 |
Type | Balanced Fund |
Denomination | Indonesian Rupiah (IDR) |
Investment Policy | |
Minimum Subscription | |
Minimum Redemption | |
Subscription Fee | Max 5% |
Redemption Fee | Max 5% |
Switching Fee | Max 5% |
Custodian Bank | Citibank, Jakarta Branch |
Valuation Method | |
ISIN Code | |
Investment Horizon | < 33 – 5> 5 LONG TERM |
Risk Tolerance | MEDIUM |
Remarks:
The table shows short description about the mutual fund. For further detail, please refer to the prospectus of each mutual fund.