| Nama | AUM | Harga | Perubahan (1 Bulan) | |
| 8,9719T | Rp3.450,00 | 0,00% | ||
| 6,2523T | Rp6.666,00 | 0,00% | ||
| 76,559M | Rp1.594,60 | 0,00% | ||
| 1,2175T | Rp2.308,94 | 0,00% | ||
| 15,9536M | Rp500,00 | 0,00% | ||
| 15,4353jt | Rp1.233,00 | +14,48% | ||
| 89,8461M | Rp1.381,18 | 0,00% | ||
| 3,5101M | Rp1.217,16 | 0,00% | ||
| 151,3145jt | Rp1.200,78 | 0,00% | ||
| 2,27T | Rp1.247,14 | 0,00% |
| Nama | Harga |
| Rp3.450,000,00% | |
| Rp6.666,000,00% | |
| Rp1.594,600,00% | |
| Rp2.308,940,00% | |
| Rp500,000,00% | |
| Rp1.233,00+14,48% | |
| Rp1.381,180,00% | |
| Rp1.217,160,00% | |
| Rp1.200,780,00% | |
| Rp1.247,140,00% |
Syailendra MSCI Indonesia Value Index Fund Kelas ARp50.000.000/unit | BNI-AM Ardhani Pendapatan Tetap SyariahRp10.000/unit |
|---|---|
| Keuntungan Bulanan0,56% * | 0,81% * |
| Asset Under Management743.8B | 419.4B |
| Tingkat RisikoHigh | Moderate |
| Manajer InvestasiPT Syailendra Capital | PT BNI Asset Management |
| Bank KustodianStandard Chartered Bank | DBS |
| Min. PembelianRp50.000.000 | Rp10.000 |
| Alokasi Aset Kas & Deposito6,32% Saham93,68% | Obligasi83% Kas & Deposito17% |