Bahana Centrum Protected Fund 221
Currency
IDR
Total AUM
1.03T
NAV
1,028.64
1Y Return
0.3%
- 1M
- 3M
- 6M
- 1Y
- 5Y
- 10Y
Profile
Performance
1 Day
0.01%
1 Week
0.08%
MTD
0.07%
1 Month
0.37%
3 Month
1.11%
YTD
0.94%
1 Year
0.3%
3 Year
0.86%
5 Year
0%
10 Year
0%
Top Holding
Name | Value |
---|
Asset Allocation
Product Detail
Fund Type
Terproteksi
Risk Profile
Expense Ratio
0%
Founded At
08 Sep 2025
Min. Subscribtion
0
Min. Redemption
0
Bank Custodian
Bank Holding