Balanced Mutual Fund

STAR Balanced III

Optimizing the growth of investment value with the principle of prudence, diversification and being a solution for long-term investment.

Last Unit Price

Thu, 5 September 2024

Daily NAV

Rp 1.141,70

0.268%

Total Assets Under Management

Rp 155.04M

The STAR Balanced III Mutual Fund aims to provide optimal investment results in the long term, through investments in accordance with the Investment Policy.

Benefits

Professional Management, Economic Benefits, Investment Growth

Effective date 18 April 2022 Minimum Purchase Rp 100,000
Release Date (NAV IDR 1000) 25 July 2022 Minimum Resale Rp 10,000
Denomination IDR Purchase Fee Maximum 2%
Investment Policy
  1. Stock Securities 1% - 79%
  2. Debt Securities 1% - 79%
  3. Money Market 1% - 79%
Resale Fees Maximum 2%
Transfer Fees Maximum 2% Risk Profile Moderate
Custodian Bank Standard Chartered Bank
Fund Fact Sheet
Prospectus

Moderate Risk Mutual Funds

Moderate risk mutual funds are a type of investment that offers a balance between potential returns and risk. The Fund invests in a variety of financial instruments, including moderate-risk stocks, medium-quality bonds, and possibly other assets that have moderate growth potential.

Moderate risk mutual funds are suitable for investors who want to seek investment value growth in the medium to long term, but with more controlled risks than high risk mutual funds. Although investment values may fluctuate, moderate risk mutual funds usually offer higher potential returns than low risk mutual funds.

You can obtain this Mutual Fund at: