Bahana Centrum Protected Fund 221

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


      Related Product