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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Technical Analysis Candlestick Patterns. Position added successfully to: Help Center Find new research papers in: Disclaimer Please note that this hyperlink will bring to you to another website on the Internet, which is operated by InTouch, an independent company nivesta by the Bank to support its Speaking Up programme. Schroders Investment Management Indonesia.

Mandiri Investa Atraktif Syariah Fund Report – May –

After assessing the tendency, by using the Modified Snail Trail method, the performance of relative risk and return of equity fund can be quantified, ordered, and assigned with ratings. We encourage you to use comments to engage with users, share your perspective and ask questions of authors and each other. Loans Personal Loan Referral. However, please remain vigilant and contact the Bank if you notice any suspicious activity in your account. Please be fully informed regarding the risks and costs associated with trading the financial markets, it is one of the riskiest investment forms possible.

Prospectus & Fund Factsheet

Examples of concerns that can be raised through this website are concerns that relate to accounting, internal accounting controls or auditing matters and concerns relating to bribery or banking and financial crime. However, the pre-emptive interest rate hike by Bank Indonesia from 4.

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Quadrant of Snail Trail is explained within this picture; formula 1. Afterward, each pairs of relative risk and return is plotted on the quadrant, with relative risk on x-axis and relative return on y-axis.

This fact is ironic, remembering Indonesia is country with one of the largest Muslim society with large potentials on development of Islamic industry. High rating equity fund is defined with equity fund which is granted with 4 or atraktf star rating. Mandiri Investa Dana Pendapatan Opt.

Full text not available from this repository. Are you sure you want to delete this chart? A security vulnerability has been detected in the commonly used OpenSSL 1. In addition we provide you related news, analysis tools, interactive charts and analysis articles. Relative risk is measured by subtracting the risk for certain period with median of risk derived from all samples on the same period.

Video chat Need a personal touch? All the figures or graphics if any is for illustration purposes only. To search for the weight of each equity fund, solver in Microsoft Excel will be used. This research finds that the performance of Islamic equity fund does not differ significantly compared to market and conventional equity fund based on return and Sharpe ratio.

After all, with the result of the statistical test, it can be stated that the performance of Islamic equity fund is statically equal to the performance of conventional equity fund.

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The second places is inhabited by high rating equity fund based on Modified Snail Trail with Managed by Professionals Funds will be managed by professional investment manager from well experienced Asset Management Companies. The morningstar rating methodology. The decision to reject the null hypothesis Ho is when the F-test computed is greater than upper tail critical value denotes with c.

Currency in IDR Disclaimer. Islamic mutual fund, on the other hands, is less demanded, and takes account only for 2. 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 rest is belongs to relatively low risk category with volatile return, which transmigrate from low to high return and vice versa.

The finding in high rating portfolio is quite obvious, high return and Sharpe ratio rating portfolios produce the highest annual expected return of Prices may rise up and down and you have the possibility for not having the amount of fund that you have invested.

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Based on the rating given by each method, this research constructs portfolios that consist of high rating equity fund for each rating method to assess the accuracy of method to choose the best performance of equity fund.