Mandiri Aktif

MANDIRI AKTIF provide long term capital appreciation through investment in equity and fixed income instrument.

1,516.07 IDR NAB/Unit NAV/Unit
1.14 IDR
0.08 %
per tanggal as of 2020-08-10
1 bulan3 bulan6 bulan1 tahunSejak awal tahunSejak peluncuran
1 month3 months6 months1 yearYear to dateSince inception
+ 2.73%
+ 13.87%
- 4.98%
- 2.95%
- 5.62%
+ 51.61%


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Sector Allocation

(5 Biggest Sectors)

Performance

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.

Selling Agents

Product Info Documents

your
investment documents
here

FUND FACT SHEET

240.09 KB Download

PROSPECTUS

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PRODUCT CARD

138.61 KB Download

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