Mandiri Investa Aktif

  • MODERATE
  • Mixed Asset
  • Rp‎ 3.866,07 /unit*

Rp‎ 3.866,07

NAV/Unit

-Rp‎ 0,97

as of 25/02/2020

0%

1 month -0.43 %
3 months -0.24 %
6 months -0.25 %
1 year 1.28 %
Year to date -2.68 %
Since inception 286.61 %

NAV Historical Chart

Product Summary

Effective Date04-Dec-2014
Launch Date (NAB Rp‎ 1.000,00 )15-May-2018
TypeMixed Asset
CurrencyIDR
Investment Policy Money Market 1% – 79% Equity 1% – 79% Bonds 1%-79%
Minimum Buy (in amount)Rp‎ 50.000,00
Minimum Sell (in amount)Rp‎ 50.000,00
Subscription Fee0.01
Redemption FeeMax. 5%
Switching FeeMax. 5%
Custodian BankDeutsche Bank AG
Valuation MethodDaily
ISIN CodeIDN000030707
Investment Periode (in years)Medium Term5 - 10
Risk Tolerance MODERATE

Documents

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