AMII

Reliance Dana Terencana

Reliance Manajer Investasi PT

Fixed Income Fund

Net Asset Value/Unit

1.874,25

IDR

17 May 2024

Performance

30 Day YTD 1 Year 3 Year 5 Year 10 Year AUM
0,82% - 1,9% 11,75% 25,99% - 9.649.181.508,0

Growth Chart : 1 Month

Loading...