Setiabudi Indeks Infobank15

Features

Type

IDR Index Fund

ISIN Code

IDN000547304

Effective Date

September 19, 2024

Launching Date

November 20, 2024

Initial/Next Subscription

Min. IDR 100 Thousand

Unit Redemption

Min. IDR 100 Thousand

Subscription/Redeem/Switching Fee

Max. 1.0 %

Management Fee

Max. 2.5 %

Custodian Fee

Max. 0.2 %

Custodian Bank

PT Bank KEB Hana Indonesia

Bank Account

PT Bank KEB Hana Indonesia
Acct. 1934-858-7830
Reksa Dana Indeks Setiabudi Indeks Infobank15

Document

Prospectus

Fund Fact Sheet

Performance

YTD1 Month3 Month1 Year3 Years5 YearsSince Inception
-9.53%-5.50%-3.77%N/AN/AN/A-12.62%

September 2025

error: SiM
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