Daftar Produk

Reksadana Pendapatan Tetap


NoProdukRpsort icon% 1yr% 3yr% 5yr% YTDRankLast Update
1Ava Fixed Income Dollar Fund 15,414,003,195,41662020-08-13
2Syailendra Liberty Fund 15,083,453,784,20812020-08-14
3CIMB-Principal Strategic USD Fixed Income Fund 14,172,824,363,31872020-08-14
4TRAM Pendapatan Tetap USD Fund 18,663,913,907,81472020-08-14
5MNC Dana Dollar 19,569,026,267,19112020-08-14
6Mandiri Investa Dana Dollar Mandiri 25,562,783,024,11822020-08-14
7Schroder USD Bond Fund 26,254,733,814,94652020-08-14
8Danamas Dollar 22,842,722,761,69932020-08-14
9Sun Life Financial Indonesia - Brilliance USD Managed Fund 38,146,105,427,10402020-08-13
10Sequislife - USD Stable Fund 2045,794,103,654,28782020-08-14
11Panin IDX-30 771-14,88-16,572020-08-14
12Mandiri Pendapatan Tetap Obligasi Negara 1.0450,900,592020-08-14
13Avrist Sukuk Income Fund 1.0484,572,153,93842020-08-14
14Schroder IDR Bond Fund III 1.0581,95-0,090,841032020-08-14
15Danareksa Proteksi 48 1.0643,383,012020-08-14
16Sequis Pendapatan Mantap 1.0643,042,742020-08-14
17Panin Dana Pendapatan Berkala 1.0641,970,36-0,011022020-08-14
18Ashmore Dana Obligasi Unggulan Nusantara 1.0884,422,982020-08-14
19Schroder Dana Andalan II 1.0941,620,910,960,961002020-08-14
20Premier Obligasi 1.0980,86-0,220,680,321052020-08-14
21Mandiri Investa Dana Pendapatan Optimal Seri 2 1.1011,711,152020-08-14
22Reksa Dana Insight Infra Development I-Infra 1.115-4,73-0,62-2,941072020-08-14
23Reksa Dana Syariah Manulife Syariah Sukuk Indonesia 1.1154,063,081,94892020-08-14
24SIMAS PENDAPATAN PRIMA 1.14912,972,646,85322020-08-14
25Manulife Pendapatan Bulanan II 1.1593,661,631,992,27912020-08-14
26BNP Paribas Kapital VI 1.1622,97-0,180,952,15962020-08-14
27RHB TM Indo Bond Fund 1.1709,636,002020-08-14
28RHB Indo Fixed Income Fund 1.1728,695,172020-08-14
29Majoris Sukuk Negara Indonesia 1.1737,103,302020-08-14
30Reksa Dana Mandiri Obligasi Optima II 1.1834,950,452020-08-14
31FWD Asia Fixed Income Fund 1.1857,574,834,42632020-08-12
32Reksa Dana Mandiri Obligasi Utama 2 1.1928,855,366,06502020-08-14
33Schroder Investa Obligasi 1.1935,833,163,46832020-08-14
34Syailendra Providentia Fixed Income Fund 1.1939,034,892020-08-14
35Kiwoom Indonesia Bond Plus Fund 1.1939,715,222020-08-14
36Reksa Dana Syariah EastSpring Syariah Fixed Income Amanah 1.2369,775,782020-08-14
37Insight Scholarship Fund 1.2413,241,803,831,76922020-08-14
38Insight Government Fund I-Govt 1.2532,904,732,43862020-08-14
39Reksa Dana Lautandhana Maxima Income Fund 1.25610,916,762020-08-14
40Sequis Pendapatan Tetap 1.27314,028,262020-08-14
41Premier Fixed Income Syariah 1.27511,738,397,166,4692020-08-14
42Bahana MES Syariah Fund 1.2848,466,664,66522020-08-14
43RHB Fixed Income Fund 2 1.29011,156,985,79222020-08-14
44Sequis Bond Optima 1.2929,137,065,23392020-08-14
45Pacific Fixed Fund 1.2956,261,711,153,51852020-08-14
46Insight Amanah Pendapatan Tetap Syariah I-Amanah 1.30212,577,752020-08-14
47Mandiri Pendapatan Tetap Indonesia Sehat 1.30810,267,095,71242020-08-14
48Pinnacle Indonesia Bond Fund 1.3149,966,385,38352020-08-14
49HPAM Government Bond 1.3189,165,072020-08-14
50Mandiri Investa Dana Obligasi Seri II 1.3419,295,607,254,79552020-08-14
51SAM Sukuk Syariah Berkembang 1.36112,098,887,896,5052020-08-14
52Sucorinvest Bond Fund 1.36312,026,645,73212020-08-14
53Majoris Obligasi Utama Indonesia 1.3658,885,614,70602020-08-14
54Mega Dana Pendapatan Tetap 1.37312,787,9910,368,7432020-08-14
55SAM Dana Obligasi 1.38111,016,322020-08-14
56Sequislife - Rupiah Stable Fund 1.3858,026,097,903,96622020-08-13
57SIMAS PENDAPATAN TETAP ABDI UTAMA 1.3919,555,322020-08-14
58Schroder Dana Obligasi Utama 1.40511,507,826,33172020-08-14
59Mega Asset Mantap Plus 1.42210,08-1,054,086,13572020-08-14
60Mandiri Obligasi Utama 1.42412,189,397,666,6342020-08-14
61Eastspring Investments IDR High Grade 1.4369,125,817,994,78542020-08-14
62Eastspring IDR Fixed Income Fund 1.44410,126,748,835,49292020-08-14
63Schroder IDR Bond Fund II 1.4482,950,121,361,62972020-08-14
64Mega Dana Obligasi Republik Indonesia 1.449-30,64-6,89-1,93-22,331082020-08-14
65Sequis Pendapatan Stabil 1.45910,406,082020-08-14
66Danareksa Melati Pendapatan Utama Syariah 1.49911,028,905,44182020-08-14
67GAP Fixed Income Fund II 1.5097,205,204,993,83682020-08-13
68Cipta Bond 1.52812,107,695,416,61122020-08-14
69PNM Dana Bertumbuh 1.5637,244,476,594,61672020-08-14
70Maybank Dana Kencana 1.568-0,23-1,80-0,170,401062020-08-05
71Reksa Dana Mandiri Obligasi Optima 1.58612,527,402020-08-14
72Batavia Dana Obligasi Plus 1.59810,206,559,095,19342020-08-14
73Mandiri Investa Obligasi Selaras 1.60011,427,879,846,11192020-08-14
74Eastspring Investments Yield Discovery Fund 1.6049,366,458,235,01452020-08-14
75TRAM Strategic Plus Fund 1.6609,145,548,124,46612020-08-14
76Nikko Indonesia Bond Fund/Indonesia 1.6626,606,127,403,67642020-08-14
77CIMB-Principal Prime Income Fund 1.69011,128,369,086,22142020-08-14
78Bahana Prime Income Fund 1.71613,788,5111,067,4722020-08-14
79Schroder Dana Obligasi Mantap 1.7549,436,908,795,19382020-08-14
80Batavia Dana Obligasi Andalan 1.75911,718,0610,096,29132020-08-14
81Mega Asset Mantap 1.7747,014,428,093,18792020-08-14
82Mega Dana Obligasi Syariah 1.7762,751,712,32-1,031012020-08-14
83Insight Renewable Energy Fund 1.7848,996,638,535,64412020-08-14
84Bahana Investasi Prima 1.8029,807,597,975,00332020-08-14
85Kresna Olympus 1.9811,520,18-0,040,121042020-08-14
86Aberdeen Indonesia Government Bond Fund 2.10610,166,368,365,62302020-08-14
87Syailendra Fixed Income Fund 2.16610,017,218,115,05312020-08-14
88Mega Dana Obligasi Dua 2.16910,146,347,236,50252020-08-14
89Mandiri Investa Dana Pendapatan Optimal 2.2382,500,051,131,28992020-08-14
90SAM Sukuk Syariah Sejahtera 2.24111,108,238,886,30152020-08-14
91Nikko Gebyar Indonesia Dua 2.3106,544,735,923,09772020-08-14
92PNM Amanah Syariah 2.3419,534,644,327,07372020-08-14
93Simas Danamas Instrument Negara 2.34311,897,968,687,5562020-08-14
94Aberdeen Indonesia Bond Fund 2.3617,786,257,304,52592020-08-14
95Nikko Tron Dua 2.3756,405,306,783,70732020-08-14
96Panin Gebyar Indonesia II 2.37910,035,677,255,29432020-08-14
97Net Dana Gemilang 2.3798,978,468,805,31282020-08-14
98Mandiri Investa Dana Utama 2.4214,703,015,682,54882020-08-14
99Mega Dana Ori Dua 2.45214,738,7311,3410,0012020-08-14
100Manulife Obligasi Negara Indonesia II 2.47411,777,819,427,27102020-08-14
101Manulife Dana Tetap Pemerintah 2.48012,167,598,937,5582020-08-14
102Lautandhana Fixed Income 2.5626,741,986,395,23692020-08-14
103Sun Life Financial Indonesia - Brilliance Xtra Prima 2.5689,555,696,865,67422020-08-13
104Bahana TCW Pendapatan Tetap Utama 2.5712,94-0,780,721,84982020-08-14
105TRIM Dana Tetap 2 2.5806,956,077,602,82712020-08-14
106Nikko Indah Nusantara Dua 2.5923,094,517,19-0,45902020-08-14
107BNP Paribas Prima II 2.6069,325,807,615,10492020-08-14
108CIMB-Principal Total Return Bond Fund/Indonesia 2.6136,355,775,733,23742020-08-14
109Panin Dana Utama Plus 2 2.6688,936,107,314,48582020-08-14
110Maybank Dana Pasti 2 2.6878,886,237,654,69562020-08-14
111MNC Dana Syariah 2.697-7,870,843,913,38952020-08-14
112Simas Income Fund 2.712-1,567,819,850,98762020-08-14
113Mega Dana RIDO TIGA 2.71213,467,127,247,6672020-08-14
114Reksa Dana Makara Prima 2.7806,854,126,574,74702020-08-14
115Schroder Prestasi Gebyar Indonesia II 2.7839,406,308,204,80462020-08-14
116MRS Bond Kresna 2.8378,298,029,362,99532020-08-14
117Schroder Dana Mantap Plus II 2.8429,606,208,015,19442020-08-14
118Simas Danamas Mantap Plus 2.9109,928,037,676,97162020-08-14
119ITB - Niaga 2.9687,164,415,983,37752020-08-13
120Manulife Obligasi Unggulan 3.0548,797,179,346,73272020-08-14
121Sun Life Financial Indonesia - Brilliance Conservative 3.7026,694,556,793,20802020-08-13
122Haji Syariah 3.7357,307,097,994,75512020-08-14
123Mandiri Investa Dana Syariah 3.7486,864,645,723,85722020-08-14
124Danamas Stabil 3.7709,297,727,476,39232020-08-14
125Sinarmas Danamas Pasti 3.8679,267,386,906,37262020-08-14
126Prospera Obligasi Plus 3.957-0,734,646,93-1,45942020-08-14
127Prospera Obligasi 4.0118,626,917,734,99482020-08-14
128Prestasi Alokasi Portfolio Investasi 4.4249,047,518,005,22362020-08-14
129Dana Obligasi Stabil 5.09110,657,959,916,20202020-08-14

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