MANDIRI INVESTA ATRAKTIF PDF

The fund aims to give an attractive return in long term capital growth through investment in equity which comply with Islamic principles (Sharia). Mandiri Investa. The fund aims to obtain attractive long-term investment returns. Mandiri Investa atraktif will invest 80% – 98% in equity securities, 0% – 20% in debt securities. Mandiri Investa Atraktif Syariah. MITRAS obtains maximum additional value in the long term through investment in Islamic securities in accordance with the.

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Please be atrakrif that when you click on the link and open a new window in your browser, you will be subject to the additional terms of use of the website that you are going to visit. This is to inform that by clicking on the hyperlink, you will be leaving sc.

Mutual fund is classified as open-end fund which issue the shares at its net asset value with charges on both purchases and redemptions Bapepam-LK, Therefore, a research to compare Islamic and conventional equity mutual fund to market indexes is required. Based on the equal weighted perspective, the monthly return, invvesta standard deviation, and monthly Sharpe ratio of the portfolio for 5 years period will be computed.

MUTUAL FUNDS

These funds are designed for investors who wish to gain from both equities and fixed income instruments. Historically this type of mutual fund growth is relatively more stable and lower fluctuations than equity funds. A security vulnerability has been detected in the commonly used OpenSSL 1.

Learn about the fund’s agencies rating and atrakif rating, transparent information about the fund’s management personal, policies of invested allocation and diversification, past performance. Therefore Fusion Media doesn’t bear any responsibility for any trading losses you might incur as a result of using this data. Suitable for investors who invests higher return from fixed deposit The composition of the investment of the fund is mahdiri on instruments that offer fixed return such as debt securities bonds and money market instruments.

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During the month, JCI touched its lower level at 5, Sharpe ratio is computed exerting this formula Marcus, Mutual fund is a capital market product and is not a bank product, and it is also not secured by the Indonesia Deposit Insurance Corporation.

To measure risk, there are several alternatives.

This report is made only for the purposes of obtaining information and shall not consist of any offer or invitation to buy the Mutual Fund units. The SBI for 1 month period is primary used for this research.

For the benchmark of high rating equity fund portfolios, this mqndiri will establish the optimal portfolio of conventional equity fund portfolio, Islamic equity fund portfolio, and hybrid equity fund portfolio.

Relative risk is measured by subtracting the risk for certain period with median of risk derived from all samples on the same period.

Quadrant of Snail Trail is explained within this picture; formula 1. This website uses cookies to improve services, analyse traffic to our site, deliver content and provide tailored ads.

Perencanaan keuangan keluarga bapak Benny pada tabungan majdiri Central Asia, tabungan bank Rakyat Indonesia, deposito bank Central Asia, deposito Mandiri, deposito Niaga, reksadana Schroder dana likuid, Schroder dana terpadu II, Fortis pesona, Fortis ekuitra, Fortis ekuitas, Fortis infrastruktur plus, Mandiri investa atraktif Setiawan, Hendra Perencanaan keuangan keluarga bapak Benny pada tabungan bank Central Asia, tabungan bank Rakyat Indonesia, deposito bank Central Asia, deposito Mandiri, deposito Niaga, reksadana Schroder dana likuid, Schroder dana terpadu II, Fortis pesona, Fortis ekuitra, Fortis ekuitas, Fortis infrastruktur plus, Mandiri investa atraktif.

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The performance measurement methods are rating based on return, Sharpe ratio, Modified Snail Trail, and Morningstar.

Remember me on this computer. Mandiri Investa Invest Utama. It may therefore take some time before it appears on our website. The samples used in this research are 36 equity funds which have been established prior to January Perencanaan keuangan keluarga bapak Benny pada tabungan bank Central Asia, tabungan bank Rakyat Indonesia, deposito bank Central Asia, deposito Mandiri, deposito Niaga, manviri Schroder dana likuid, Schroder dana terpadu II, Fortis pesona, Fortis ekuitra, Fortis ekuitas, Fortis infrastruktur plus, Mandiri investa atraktif.

Morningstar Risk is useful to determine the more preferred equity fund when the funds have same rating, and similar MRAR 2 but different level of risk. Atraktkf correlated is shown on the rating-based-on-Modified Snail Trail with rating-based-on-Sharpe with index of 0.

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If any mutual fund does not publish the mutual fund online, the mode of the rate will be used. Acknowledgement We thank to the God who has already given wisdom to finish this paper. The desirable below median volatility appear on the left of diagram, and less demanded above median volatility appear on the right of diagram.

Type of funds Money market Funds Investment direction: