AMII

Cipta Obligasi Rupiah

Ciptadana Asset Management PT

Fixed Income Fund

Net Asset Value/Unit

1.407,33

IDR

26 Apr 2024

Performance

30 Day YTD 1 Year 3 Year 5 Year 10 Year AUM
-2,12% - 0,67% 14,06% 29,43% - 2.728.810.831,0

Growth Chart : 1 Month

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