Asset Management

Asset Management


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Friday, 24 March 2017 17:09

PRODUCTS

Mutual Funds NAV/Unit Return Link
Last 30 days Last 1 year
Cipta Bond Rp. 1.28% -0.07% Fund Fact Sheet Prospectus
Cipta Dana Cash Rp. 0.53% 7.72% Fund Fact Sheet Prospectus
Cipta Dinamika Rp. 1.03% 22.03% Fund Fact Sheet Prospectus
Cipta NUsantara Syariah Berimbang Rp. 1.64% 0.00% Fund Fact Sheet Prospectus
Cipta Syariah Balance Rp. 1.47% 2.82% Fund Fact Sheet Prospectus
Cipta Syariah Equity Rp. 1.29% 2.54% Fund Fact Sheet Prospectus
Rencana Cerdas Rp. 1.70% 6.86% Fund Fact Sheet Prospectus
* NAV on 24 March 2017
Country Fund NAV/Unit Return
Last 30 days Last 1 year
Indonesia Growth Fund US$ -0.55% 0.97%
* NAV on 24 March 2017