Fund objective
Aims to obtain optimal medium-term performance by investing primarily in Debt Securities that are issued in Indonesia.
Awards:
- Silver Champion, Best Fixed Income 5 Year, AUM <100 Billion by 4th Bareksa - Kontan OVO Awards 2020
Awards:
- Silver Champion, Best Fixed Income 5 Year, AUM <100 Billion by 4th Bareksa - Kontan OVO Awards 2020
-
IDR 1,637.53
NAV as of 24 Jul 2025
-
IDR -0.47
Daily IDR Change
-
-0.03 %
Daily % Change
-
IDR 95.10 Billion
AUM as of 30 Jun 2025
Returns
1M | 3M | 6M | 1Y | 3Y | YTD | Since inception | |
---|---|---|---|---|---|---|---|
NAV | 0.90% | 2.30% | 4.20% | 5.50% | 10.80% | 4.20% | 88.00% |
Benchmark | 0.80% | 2.60% | 4.70% | 7.20% | 16.70% | 4.70% | 98.10% |
Returns (%) as of 30-Jun-2025
Fund facts
- Inception date29 May 2013
- Asset classFixed Income
- AUMIDR 95.10 Billion
- ISIN codeIDN000156304
- Base currencyIDR
- Benchmark indexIBPA INDOBex GOVT. INDEX
- Subscription methodN.A.
- Subscription Fee (per transaction) Max. 2.0% per transaction
- Custodian Fee (annually) Max. 0.20% per annum
- Annual management feesMax. 2.0% per annum
- Redemption Fee (per transaction)Max. 2.0% per transaction
- Switching Fee (per transaction)Max. amount of the subscription fee of the intended mutual fund
- Minimum initial investmentIDR 10,000 or as per defined by APERD
- Minimum subsequent investmentIDR 10,000 or as per defined by APERD
Footnote:
The fee is calculated in Net Asset Value (NAV)