



KayaSmart+ is an AI-powered investment feature that automatically manages your portfolio allocation. The AI continuously monitors the market and adjusts asset allocations to keep your investments adaptive. Every strategy is tailored to your risk profile, allowing you to focus on your goals while AI takes care of your investments.












KayaSmart+ is an AI-powered investment feature that automatically manages your portfolio allocation. The AI continuously monitors the market and adjusts asset allocations to keep your investments adaptive. Every strategy is tailored to your risk profile, allowing you to focus on your goals while AI takes care of your investments.
Risk
Profile
Economic
Data
Market
Trends
Fund
Performance
KayaSmart+ is an AI-powered investment feature that automatically manages portfolio allocations. The AI monitors the market at all times and adjusts asset allocations to keep your investments adaptive. All strategies are tailored to your risk profile, allowing you to focus on your goals while the AI manages your investments.
Mandiri USD AgresifAgresif

1 Year
Return
Trimegah ModeratModerat

1 Year
Return
Pinnacle Agresif Agresif

1 Year
Return
Syailendra ModeratModerat

1 Year
Return
Through multi-asset diversification and real-time AI analysis, KayaSmart+ keeps your portfolio stable, well-managed, and optimized across market cycles.
Kaya builds a portfolio that includes equities, bonds, and money market instruments to enhance stability and reduce concentration risk.
AI monitors market volatility in real time to keep the portfolio defensive when risks rise—protecting investment value from sudden shocks.
AI automatically adjusts asset allocations based on market changes, ensuring your portfolio remains optimally positioned.
An investment approach focused on delivering positive returns through flexible strategies that do not rely on market direction.

KayaSmart+ Pinnacle Agresif menggabungkan pengelolaan portofolio berbasis AI dengan keahlian investasi kuantitatif dari Pinnacle Investment. Melalui analisis berbasis data dan alokasi aset yang dinamis, portofolio ini terus beradaptasi pada saham, obligasi, dan instrumen pasar uang untuk mengejar pertumbuhan jangka panjang sambil tetap menerapkan pengendalian risiko yang disiplin.