Mutual Fund Products Available at Kaya
Please select products based on the asset class listed belowSummary
Mutual Fund | NAB/Unit | 1Y Performance | AUM | Expense Ratio | Min. Purchase |
---|---|---|---|---|---|
DividenTrimegah Fixed Income Plan | Rp 1.160,11 | 2.31% | Rp 2.304.935.951.698 | 2.50% | Rp 100.000 |
DividenHPAM Pendapatan Tetap Prima | Rp 1.075,46 | 2.09% | Rp 294.643.209.231 | 1.00% | Rp 5.000.000 |
DividenBahana Obligasi Ganesha Kelas D | Rp 1.001,72 | 2.08% | Rp 316.063.210.321 | 2.50% | Rp 100.000 |