Panin Dana Prima

About Panin Dana Prima

NAV/Unit
3,193.74 as of 16 Jan 2025
Type of Mutual Fund
Equity Fund
Product risk
Aggressive
Min. Subscription
IDR 100,000.00

More Information

Type of Mutual Fund
Equity Mutual Fund

Investment Manager
PT Panin Asset Management

Custodian Bank
PT Bank Central Asia Tbk

Launch Date
27 December 2007

Investment Policy
Equity Instrument : Target 90%
The rest is in debt instrument or money market instrument

Minimum Transaction
IDR 100.000

Product Performance (as of October 2024)

YTD1Y3Y5YSince Inception
-0.04 %3.63 %13.32 %11.64 %257.47 %

Transaction Fee

Transaction TypeTransaction Fee
Subscription< IDR 50 MIllion = 2%
≥ 50 Million - < 100 Million = 1.75%
≥ 100 Million - < 250 Million = 1.5%
≥ 250 Million - < 500 Million = 1.25%
≥ 500 Million - < 1 Billion = 1%
≥ 1 Billion = 0.5%
Redemption≤ 6 Months = 0%
> 6 Months = 0%
≤ 1 Years = 1%
> 1 Years = 0%
SwitchingSwitching Fees = 1%

Product Literature

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Brochure
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Prospectus
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Fund Fact Sheet
Disclaimer

PaninBank as Mutual Funds Selling Agent. Mutual Funds are capital market products and are not PaninBank products, so they are not guaranteed by PaninBank and are not included in the scope of the Government's guarantee program or savings guarantee program.

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