NAV

1338.34 IDR

17/09/2020

down 11.07

As of: 17/09/2020

Period 3M 6M 1Y 3Y 5Y
Change up 1.02% up 11.49% down 11.41% up 0.33% up 30.35%

NAV

4040.94 IDR

17/09/2020

up 1.28

As of: 17/09/2020

Period 3M 6M 1Y 3Y 5Y
Change up 1.42% up 2.26% up 3.74% up 17.70% up 36.78%

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NAV Prices are based on "dividend re-investment" basis.