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NAV as of 17 Jul, 2026

IDR 1634.0221

Investment Approach

The Fund primarily invests in local Indonesian government bonds and seeks to maintain an average portfolio duration that remains within 20% of the Markit iBoxx Asian Local Bond Index (ALBI) Indonesia

Investment Objective

The fund seeks to maximize long term capital gain through an actively managed portfolio of predominantly liquid Indonesian Government Bond / Fixed Income securities. The fund has a flexible asset allocation strategy and invests between 80 – 100% of its assets in Indonesian Gov Bond and between 0% to 20% of its assets in money market instruments.

Performance

Key Facts
As of 30 June 2026

Fund Size IDR 90.28 B
Fund Type Fixed Income
Listing Date 15 November 2016
Currency Rupiah
Min. Init. Investment IDR 100,000
Subscription Fee Max. 2.00%
Redemption Fee Max. 2.00%
Switching Fee Max. 1.00%
Management Fee Max. 2.00%
Custodian Bank BCA
Custodian Fee Max. 0.25%
ISIN Code IDN000263209
Bloomberg Ticker PINNIBF.IJ

Portfolio Allocation

TOP 5 Holdings
As of 30 June 2026

Name
Obligasi FR0058
Obligasi FR0071
Obligasi FR0073
Obligasi FR0074
Obligasi FR0078