-
Emco Mantap
8,17%
-
Pacific Saham Syariah III
5,21%
-
Millenium MCM Equity Sektoral
4,04%
-
Emco Growth Fund
2,76%
-
Pratama Dana Atraktif Saham
1,81%
-
Pratama Dana Gemilang Saham
1,70%
-
Pratama Dana Alpha Saham
1,69%
-
Pratama Dana Mantap Saham
1,64%
-
Pratama Investa Mandiri Saham
1,62%
-
Lautandhana Growth Fund
1,61%
-
Pratama Dana Saham Unggulan
1,59%
-
Nikko Saham Pembangunan Indonesia
1,56%
-
Pratama Saham
1,56%
-
Treasure Fund Super Maxxi
1,53%
-
MNC Dana Syariah Ekuitas II
1,46%
-
Majoris Saham Gemilang Indonesia
1,32%
-
Nikko Indonesia Equity Fund
1,18%
-
Valbury Prime Dynamic Equity
1,16%
-
Pratama Dana Cemerlang Saham
1,15%
-
Pratama Dana Dinamis Saham
1,13%
-
Bahana USD Fixed Income Kelas I
0,58%
-
BRI Melati Premium Dollar
0,53%
-
Ashmore Dana USD Nusantara
0,51%
-
Investa Dana Dollar Mandiri Kelas A
0,48%
-
Principal Dollar Bond
0,45%
-
Architas Obligasi Dollar
0,44%
-
Trimegah Obligasi Nusantara 2
0,43%
-
Lautandhana Maxima Income Fund
0,42%
-
Mandiri Investasi Obligasi Nasional
0,41%
-
BNP Paribas Prima USD Kelas RK1
0,38%
-
Victoria Fixed Income
0,36%
-
PNM Dana Surat Berharga Negara
0,36%
-
Cipta Bond
0,34%
-
STAR Obligasi Negara Prima
0,33%
-
Ashmore Dana Obligasi Nusantara
0,32%
-
HPAM Government Bond
0,32%
-
Syailendra Liberty Fund
0,32%
-
Schroder USD Bond Fund
0,31%
-
Panin Gebyar Indonesia II
0,31%
-
Bahana Apex Fixed Income Fund
0,31%
-
Pratama Dana Campuran
1,56%
-
Nikko BUMN Plus
1,34%
-
I AM BUMN Balanced Plus Fund
1,03%
-
Minna Padi Keraton Balanced
0,88%
-
Victoria Campuran Dinamis
0,87%
-
Majoris USD Balance Indonesia
0,77%
-
Semesta Dana Maxima
0,76%
-
Mega Asset Strategic Total Return
0,76%
-
Campuran Victoria Jupiter
0,73%
-
Lautandhana Balanced Progressive Fund
0,71%
-
Premier Campuran Dinamis Kelas A
0,67%
-
Premier Campuran Dinamis Kelas B
0,67%
-
Capital Optimal Balanced
0,66%
-
Sucorinvest Citra Dana Berimbang
0,66%
-
Capital Balanced Fund
0,62%
-
Sucorinvest USD Balanced Fund
0,61%
-
Net Dana Flexi
0,59%
-
Premier Campuran Fleksibel
0,58%
-
HPAM Flexi Plus
0,57%
-
Nikko Indonesia Balanced Fund
0,57%
Reksa Dana Saham
Nilai Aktiva Bersih/Unit
Barometer Bareksa
Not Rated
Return/Hari
-0,55%
Performance
Detail Reksa Dana
|
|
Jenis Reksa Dana |
Saham |
Tanggal Peluncuran |
27 Desember 2017 |
Bank Kustodian |
PT Bank CIMB Niaga Tbk |
Dana Kelolaan |
IDR 93.678.888.190,00 |
Min. Pembelian Awal |
|
Pembelian Selanjutnya |
|
Min. Penjualan Kembali |
|
12 Month Low - High |
813,67 - 930,45 |
Biaya Transaksi (Maks) | Prospektus |
Biaya Pembelian | |
Biaya Penjualan Kembali | |
Biaya Switching | |
Sumber: Bank Custodian dan Media ; Diolah Bareksa
Sumber: Otoritas Jasa Keuangan (OJK) ; Diolah Bareksa
Tujuan Investasi
Kebijakan Investasi
Portofolio Investasi