NAV

1364.26 IDR

16/11/2017

up 14.60

As of: 16/11/2017

Period 3M 6M 1Y 3Y 5Y
Change up 2.51% up 5.91% up 12.10% up 28.47% -

NAV

3461.00 IDR

16/11/2017

up 2.43

As of: 16/11/2017

Period 3M 6M 1Y 3Y 5Y
Change up 1.68% up 3.31% up 7.14% up 24.07% up 42.81%

SUMMARY Global Weekly Newsletter

16NOV 2017

SUMMAR Global Weekly Newsletter

SUMMARY Global Weekly Newsletter

16NOV 2017

SUMMAR Global Weekly Newsletter

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Monthly Global Insight

16NOV 2017

Monthly Markets Review

Monthly Global Insight

16NOV 2017

Monthly Markets Review

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