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ABOUT MNC ASSET
MNC MUTUAL FUNDS
MNC PRIVATE FUNDS
MOTION FUNDS
CONTACT US
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DAILY NAV
DAILY NAV
Last Update: 25/04/25
Reksa Dana Pasar Uang
NAV/Unit
30 Days %
YTD %
MNC Dana Lancar
1,924.6306
0.46
1.78
MNC Dana Syariah Barokah
1,517.9107
0.43
1.66
Reksa Dana Pendapatan Tetap
NAV/Unit
30 Days %
YTD %
MNC Dana Likuid
3,328.8454
0.62
2.24
MNC Dana Syariah
3,632.6612
0.62
2.24
MNC Dana SBN
1,441.5068
1.47
1.87
Reksa Dana Saham
NAV/Unit
30 Days %
YTD %
MNC Dana Ekuitas
1,852.7437
5.05
-13.03
MNC Smart Equity Fund
477.2202
5.53
-12.41
Fixed Income Funds
Mutual fund with portfolio allocation min. 80% in Bonds.
PERFORMANCE
as of 25 April 2025
NAV/Unit
IDR 1,441.5068
1 Month
1.47%
3 Month
1.37%
6 Month
1.3%
YTD
1.87%
1 Year
4.06%
MNC Dana SBN
Fund Fact Sheet
Prospektus
Marketing Deck
INITIAL & ADDITIONAL INVESTMENT
IDR 100.000,-
Launch Date
April 8, 2016
Total Units
1 Billion Units
Custodian Bank
BCA
ACCOUNT
Bank Account Name
Reksa Dana MNC Dana SBN
BCA KCP Bursa Efek Jakarta acc. no.
458-289-7925
Hubungi Kami