Profil
Tentang Kami
Visi dan Misi
Manajemen
Reasuransi
Penghargaan
Layanan
Prosedur Klaim
Layanan Polis
Layanan Premi
Layanan Pengaduan
Kantor Pemasaran
Rumah Sakit Rekanan
Kanal Distribusi
Agency
Employee Benefit
Bancassurance
Retail Insurance
Unduh
Formulir
Laporan Keuangan
Laporan Keberlanjutan
NAV
Berita
Karir
Whistleblowing
DPLK
X
Search
Search
NAV 20-02-2025
Date: 21 Februari 2025
Equity Fund: 1.295,8645
Managed Fund: 2.818,3301
Stable Link: 7.601,0410
Steady Fund: 5.144,3378
Steady Fund USD: 0,210599
Balanced Fund: 1.542,9540