ETF Penyedia

Fair Oaks

Total ETF
5

Semua Produk

5 ETF
Nama
Kelas Aset
AUM
Rata-rata Volume
Penyedia
Rasio Biaya
Segmen Investasi
Indeks
Tanggal Peluncuran
NAV (Nilai Aset Bersih)
P/B
P/E
Obligasi35,53 Juta. Fair Oaks0,35Investment Grade11/9/20241.012,040,000,00
Obligasi1,46 Juta. Fair Oaks0,35Investment Grade13/2/202510,330,000,00
Obligasi920.211,9 Fair Oaks0,35Investment Grade5/2/202510,610,000,00
Obligasi104.468,8 Fair Oaks0,35Investment Grade7/4/202410,450,000,00
Obligasi Fair Oaks0,00Investment Grade0,000,000,00

Direktori ETF

Direktori ETF