HPAM Ultima Obligasi Plus
Henan Putihrai Asset Management PT
Fixed Income Fund
Net Asset Value/Unit
1.676,56
IDR
31 Jan 2025
Performance
30 Day
|
YTD |
1 Year
|
3 Year
|
5 Year
|
10 Year
|
AUM |
0,77% |
- |
0,82% |
12,82% |
30,5% |
- |
2.314.338.740.228,0
|
Growth Chart :
3 Year