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LANGGANAN DATA
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Langganan Data
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Paket Data
Foster Equity Fund
3,03%
Reksa Dana Syariah Capital Sharia Equity
2,97%
Pacific Equity Flexi Fund
2,56%
Pacific Equity Growth Fund VI
2,55%
Pacific Equity Progresif Fund II
2,40%
Sucorinvest Equity Fund
2,34%
Pinnacle Dana Ekuitas Nusantara
2,33%
Pacific Equity Progresif Fund III
2,30%
Shinhan Mitra Maxima Ekuitas
2,29%
Sucorinvest Saham Dinamis
2,28%
Pratama Syariah
2,27%
Capital Equity Fund
2,26%
Shinhan Equity Growth
2,24%
Pacific Equity Progresif Fund
2,23%
Pratama Dana Cemerlang Saham
2,19%
Pacific Equity Growth Fund V
2,18%
Gemilang Dana Saham Indonesia
2,18%
Victoria Prime Equity Fund
2,18%
Mega Asset Maxima
2,01%
Manulife Saham Andalan
2,00%
Reliance Dana Terencana
0,42%
Ashmore Dana USD Nusantara
0,31%
UOBAM Inovasi Obligasi Nasional
0,29%
Bahana USD Fixed Income Kelas I
0,26%
BRI Melati Premium Dollar
0,24%
Architas Obligasi Dollar
0,23%
Nikko Indah Nusantara Dua
0,21%
BNP Paribas Prima USD Kelas RK1
0,19%
Investa Dana Dollar Mandiri
0,19%
Pinnacle Indonesia Bond Fund
0,19%
Principal Dollar Bond
0,19%
Corpus Theologia Fixed Income Fund
0,14%
Setiabudi Dana Obligasi Plus
0,13%
Reksa Dana Syariah Lautandhana Sharia Income Fund
0,13%
Batavia Pendapatan Tetap Utama Syariah
0,13%
Eastspring Syariah Fixed Income USD Kelas A
0,12%
Schroder USD Bond Fund
0,11%
Reksa Dana Pendapatan Tetap BNI AM Dana Prioritas
0,11%
Corpus Bond Plus
0,10%
Manulife Dana Tetap Stabil Kelas M1
0,10%
Capital Optimal Balanced
2,40%
Capital Balanced Fund
2,18%
Pratama Dana Campuran
1,82%
Pacific Balance Syariah
1,78%
Pacific Balance Fund III
1,61%
Semesta Dana Maxima
1,56%
Nikko BUMN Plus
1,52%
Mega Dana Kombinasi
1,25%
Reksa Dana Syailendra Balanced Opportunity Fund Kelas A
1,25%
GAP Balance Maxi Fund
1,22%
Mega Asset Strategic Total Return
1,19%
SAM Mutiara Nusa Campuran
1,12%
Shinhan Balance Fund
1,12%
Pacific Balance Fund
1,09%
GAP Dana Kombinasi
1,02%
I AM BUMN Balanced Plus Fund
1,02%
SAM Syariah Berimbang
0,98%
Prospera Balance Return Optimiser
0,96%
Nikko Indonesia Balanced Fund
0,94%
Prospera Value Fund
0,92%
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