Setiabudi Dana Campuran

Features

Type

IDR Balanced Fund

ISIN Code

IDN000302106

Effective Date

September 04, 2017

Offering Date

September 25, 2017

Initial Subscription

IDR 1 Million

Following Subscription

IDR 1 Million

Subscription Fee

Max. 1%

Redemption and Switching Fee

Max. 1%

Investment Policy

Fixed Income  : 1 – 79%
Equities           : 1 – 79%
Money Market : 0 – 79%

Custodian Bank

PT Bank Central Asia

Bank Account

PT Bank Central Asia Tbk
206-357-2021
RD SETIABUDI DANA CAMPURAN

Document

Fund Fact Sheet

Prospectus

Performance

YTD1 Month3 Month1 Year3 YearSince Inception
8.17 %3.93 %1.22 %8.89 %N/A6.81 %

April 2019

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