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RHB SRI-KEHATI Index Fund
Launching Date Minimum Subscription Minimum Top Up Minimum Redemption Minimum Balance Custodian Bank

8 November 2017

Rp. 100.000,- 

Rp. 100.000,- 

Not Determined 

Rp. 100.000,- 

PT  HSBC Indonesia


NAV Growth
Name NAB 1 Month 3 Month 6 Month 1 Year 2 Year 3 Year 5 Year YTD Since
Launch
NAV Growth 1,001.83 17.29% 18.02% 9.04% 20.04% -2.45% 7.63% % 3.15% 0.18%
Benchmark 379.85 17.55% 18.91% 9.22% 20.13% -2.62% 9.61% % 2.81% 3.05%

Benchmark : SRI-KEHATI


Growth Chart

Mutual Fund Return End of Periode Asset Under Management
RHB SRI-KEHATI Index Fund 0,18%
Benchmark 3,05% -