Asset Management

Asset Management



Net Asset Value


Code 15/05/2012   14/05/2012   
Cipta Balance1,331.091,331.72
Cipta Dinamika1,158.501,160.24
Rencana Cerdas10,643.3910,657.26
Cipta Syariah Equity1,570.791,568.56
Cipta Syariah Balance1,543.191,541.71
Code 15/05/2012   14/05/2012   
Code 09/05/2012 02/05/2012
INDONESIAN INVESTMENT FUND LTD.-IGF186.17190.99
last update: 19-05-2012 09:14:04

Securing Long Term Financial Growth


Ciptadana Asset Management offers a range of innovative funds and services to help clients achieve their investment objectives.

Our approach to portfolio management aims at achieving long-term capital appreciation through a disciplined investment process.

Ciptadana Asset Management manages various mutual funds that invest in Indonesian equities and fixed income instruments, as well as providing structured funds management services, tailor made for each client, whether high net-worth individuals or institutions. Investment strategies are designed to reflect each client's financial assets, obligations and risk appetite, and to achieve their investment goals.

In-depth knowledge, exhaustive research, and the experience and expertise to know how and when to make the right investment decisions, all play a role in Ciptadana Asset Management's success.

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