Top 3 Performing Products

Risk LOW

Mandiri Investa Pasar Uang

Money Market Fund

NAV/Unit

Rp‎ 1.430,86

19/06/2019
LOW
  • 6 months 2.77%
  • 1 year 4.88%
  • Year to date 2.63%
Buy
Risk MODERATE

Mandiri Investa Dana Utama

Fixed Income Fund

NAV/Unit

Rp‎ 2.302,39

19/06/2019
MODERATE
  • 6 months 2.1%
  • 1 year 0.29%
  • Year to date 1.93%
Buy
Risk HIGH

Mandiri Investa Equity Asean 5 Plus

Equity Fund

NAV/Unit

Rp‎ 1.517,14

19/06/2019
HIGH
  • 6 months 5.18%
  • 1 year 9.88%
  • Year to date 5.09%
Buy

3 Products We Recommend

Risk LOW

Mandiri Investa Pasar Uang

Money Market Fund

NAV/Unit

Rp‎ 1.430,86

19/06/2019
LOW
  • 6 months 2.77%
  • 1 year 4.88%
  • Year to date 2.63%
Buy Read Recommendation
Risk MODERATE

Mandiri Investa Dana Utama

Fixed Income Fund

NAV/Unit

Rp‎ 2.302,39

19/06/2019
MODERATE
  • 6 months 2.1%
  • 1 year 0.29%
  • Year to date 1.93%
Buy Read Recommendation
Risk HIGH

Mandiri Investa Equity Asean 5 Plus

Equity Fund

NAV/Unit

Rp‎ 1.517,14

19/06/2019
HIGH
  • 6 months 5.18%
  • 1 year 9.88%
  • Year to date 5.09%
Buy Read Recommendation

View Products By Type

Mandiri Investa Pasar Uang

Money Market Fund

NAV/Unit

Rp‎ 1.430,86

19/06/2019
LOW
  • 6 months 2.77%
  • 1 year 4.88%
  • Year to date 2.63%
Buy

Mandiri Investa Pasar Uang 2

Money Market Fund

NAV/Unit

Rp‎ 1.076,10

19/06/2019
LOW
  • 6 months 3.15%
  • 1 year 6.25%
  • Year to date 3.01%
Buy

Mandiri Pasar Uang Syariah

Money Market Fund

NAV/Unit

Rp‎ 1.092,25

19/06/2019
LOW
  • 6 months 3.12%
  • 1 year 5.93%
  • Year to date 2.98%
Buy

Mandiri Investa Dana Obligasi Seri II

Fixed Income Fund

NAV/Unit

Rp‎ 1.208,51

19/06/2019
MODERATE
  • 6 months 5.74%
  • 1 year 4.21%
  • Year to date 5.38%
Buy

Mandiri Investa Dana Syariah

Fixed Income Fund

NAV/Unit

Rp‎ 3.468,68

19/06/2019
MODERATE
  • 6 months 2.49%
  • 1 year 3.2%
  • Year to date 2.33%
Buy

Mandiri Investa Dana Utama

Fixed Income Fund

NAV/Unit

Rp‎ 2.302,39

19/06/2019
MODERATE
  • 6 months 2.1%
  • 1 year 0.29%
  • Year to date 1.93%
Buy

Mandiri Brawijaya Investa Berimbang

Mixed Asset Fund

NAV/Unit

Rp‎ 1.302,70

19/06/2019
MODERATE
  • 6 months 3.27%
  • 1 year 10.81%
  • Year to date 3.4%
Buy

Mandiri Investa Aktif

Mixed Asset Fund

NAV/Unit

Rp‎ 3.885,97

19/06/2019
MODERATE
  • 6 months 4.2%
  • 1 year 6.38%
  • Year to date 4.27%
Buy

Mandiri Investa Syariah Berimbang

Mixed Asset Fund

NAV/Unit

Rp‎ 3.185,49

19/06/2019
MODERATE
  • 6 months 3.4%
  • 1 year 4.83%
  • Year to date 3.33%
Buy

Mandiri Investa Atraktif

Equity Fund

NAV/Unit

Rp‎ 4.808,20

19/06/2019
HIGH
  • 6 months 4.58%
  • 1 year 4.96%
  • Year to date 4.09%
Buy

Mandiri Investa Atraktif Syariah

Equity Fund

NAV/Unit

Rp‎ 1.262,09

19/06/2019
HIGH
  • 6 months 4.26%
  • 1 year 3.23%
  • Year to date 4.86%
Buy

Mandiri Investa Cerdas Bangsa

Equity Fund

NAV/Unit

Rp‎ 2.654,77

19/06/2019
HIGH
  • 6 months 4.29%
  • 1 year 8.4%
  • Year to date 4.22%
Buy

Mandiri Investa Ekuitas Dinamis

Equity Fund

NAV/Unit

Rp‎ 1.015,91

19/06/2019
HIGH
  • 6 months 9.87%
  • 1 year -0.67%
  • Year to date 8.83%
Buy

Mandiri Investa Equity Asean 5 Plus

Equity Fund

NAV/Unit

Rp‎ 1.517,14

19/06/2019
HIGH
  • 6 months 5.18%
  • 1 year 9.88%
  • Year to date 5.09%
Buy

Mandiri Investa Equity Dynamo Factor

Equity Fund

NAV/Unit

Rp‎ 1.651,40

19/06/2019
HIGH
  • 6 months 10.61%
  • 1 year 13.8%
  • Year to date 10.5%
Buy

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