BANK MANDIRI
Jenis Reksadana
Nama Reksadana
NAV
HASIL INVESTASI DALAM
30 Hari Terakhir
1 Thn Terakhir
Riil 1 Thn Terakhir
( Rp. )
( % )
( % )
( % )
Fixed Income
Jatim Treasury Fund

1,072.48

4.07%

-1.81%

-2.79%

Mega Dana Rido Tiga

1,061.14

0.97%

-

-

Equity
Saham BUMN

744.74

15.96%

-35.55%

-36.19%

Campuran
AIM Trust Imperial

1,322.51

3.55%

-

-

Terproteksi
Si Dana Proteksi Obligasi Seri I

1,084.20

0.74%

4.02%

3.91%

Si Dana Proteksi Pertiwi Seri I

1,138.71

1.75%

4.66%

4.56%