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20260310_XPIN_Laporan Harian atas Nilai Aktiva Bersih dan Komposisi Portofolio_32053095_lamp2.pdf
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Page 1
Holdings Report of Positions at Market Value
Fund: XPIN - RD INDEKS BAHANA ETF PEFINDO I GRADE
Fund Currency: IDR
NAV Date: 10/03/2026
Sorted By: None
Security ID Quantity Cost price Original cost-L Amort cost-L Mkt Value-L Accured interest -L Total Mkt Val-L Total Unreal G/L-L Unreal Cap G/L-B
Other ID Orig Face Mkt Price Original cost-B Amort cost-B Mkt Value-B Accured interest-B Total Mkt Val-B Total Unreal G/L-B Unreal FX G/L-B
Security Description Ccy Int Rate Maturity Date FX Rate
DBS ID 126000
ID1000053705 46,250.000 1,190.849362 55,076,783.00 55,076,783.00 79,781,250.00 0.00 79,781,250.00 24,704,467.00 24,704,467.00
MEDC 1,725.00 55,076,783.00 55,076,783.00 79,781,250.00 0.00 79,781,250.00 24,704,467.00 0.00
PT Medco Energi Internasional IDR 1.00
Tbk
ID1000060007 26,085.000 2,080.904581 54,280,396.00 54,280,396.00 50,083,200.00 0.00 50,083,200.00 -4,197,196.00 -4,197,196.00
MYOR 1,920.00 54,280,396.00 54,280,396.00 50,083,200.00 0.00 50,083,200.00 -4,197,196.00 0.00
PT Mayora Indah Tbk IDR 1.00
ID1000062201 17,390.000 6,949.329385 120,848,838.00 120,848,838.00 168,683,000.00 0.00 168,683,000.00 47,834,162.00 47,834,162.00
INKP 9,700.00 120,848,838.00 120,848,838.00 168,683,000.00 0.00 168,683,000.00 47,834,162.00 0.00
PT Indah Kiat Pulp & Paper IDR 1.00
Tbk
ID1000068703 906,500.000 460.745946 417,666,200.00 417,666,200.00 217,560,000.00 0.00 217,560,000.00 -200,106,200.00 -200,106,200.00
BUMI 240.00 417,666,200.00 417,666,200.00 217,560,000.00 0.00 217,560,000.00 -200,106,200.00 0.00
PT Bumi Resources Tbk IDR 1.00
ID1000075906 24,605.000 447.145946 11,002,026.00 11,002,026.00 8,907,010.00 0.00 8,907,010.00 -2,095,016.00 -2,095,016.00
SMDR 362.00 11,002,026.00 11,002,026.00 8,907,010.00 0.00 8,907,010.00 -2,095,016.00 0.00
PT Samudera Indonesia Tbk IDR 1.00
ID1000085707 200,355.000 1,947.785346 390,248,533.00 390,248,533.00 300,532,500.00 0.00 300,532,500.00 -89,716,033.00 -89,716,033.00
BRPT 1,500.00 390,248,533.00 390,248,533.00 300,532,500.00 0.00 300,532,500.00 -89,716,033.00 0.00
PT Barito Pacific Tbk IDR 1.00
ID1000090301 72,520.000 7,577.599407 549,527,509.00 549,527,509.00 416,990,000.00 0.00 416,990,000.00 -132,537,509.00 -132,537,509.00
TPIA 5,750.00 549,527,509.00 549,527,509.00 416,990,000.00 0.00 416,990,000.00 -132,537,509.00 0.00
PT Chandra Asri IDR 1.00
Petrochemical Tbk
ID1000092406 61,605.000 429.434543 26,455,315.00 26,455,315.00 20,945,700.00 0.00 20,945,700.00 -5,509,615.00 -5,509,615.00
SMRA 340.00 26,455,315.00 26,455,315.00 20,945,700.00 0.00 20,945,700.00 -5,509,615.00 0.00
PT Summarecon Agung Tbk IDR 1.00
ID1000092703 22,200.000 1,200.931712 26,660,684.00 26,660,684.00 22,533,000.00 0.00 22,533,000.00 -4,127,684.00 -4,127,684.00
PNBN 1,015.00 26,660,684.00 26,660,684.00 22,533,000.00 0.00 22,533,000.00 -4,127,684.00 0.00
PT Bank Pan Indonesia Tbk IDR 1.00
Page 1 of 9 Run date/time: 10/03/2026 19:11:35
The contents of this document are confidential and may also be legally privileged and are intended solely for parties with confidentiality agreements in place with this investment company. HLDPOS
Column headings note numbers in a security's local market currency as 'L' to indicate LOCAL currency and numbers in the Fund's currency as 'B' to indicate the Fund's in BASE currency
Page 2
Holdings Report of Positions at Market Value
Fund: XPIN - RD INDEKS BAHANA ETF PEFINDO I GRADE
Fund Currency: IDR
NAV Date: 10/03/2026
Sorted By: None
Security ID Quantity Cost price Original cost-L Amort cost-L Mkt Value-L Accured interest -L Total Mkt Val-L Total Unreal G/L-L Unreal Cap G/L-B
Other ID Orig Face Mkt Price Original cost-B Amort cost-B Mkt Value-B Accured interest-B Total Mkt Val-B Total Unreal G/L-B Unreal FX G/L-B
Security Description Ccy Int Rate Maturity Date FX Rate
ID1000095003 271,210.000 4,549.493238 1,233,868,061.00 1,233,868,061.00 1,331,641,100.00 0.00 1,331,641,100.00 97,773,039.00 97,773,039.00
BMRI 4,910.00 1,233,868,061.00 1,233,868,061.00 1,331,641,100.00 0.00 1,331,641,100.00 97,773,039.00 0.00
PT Bank Mandiri (Persero) IDR 1.00
Tbk
ID1000096605 113,960.000 4,334.106467 493,914,773.00 493,914,773.00 485,469,600.00 0.00 485,469,600.00 -8,445,173.00 -8,445,173.00
BBNI 4,260.00 493,914,773.00 493,914,773.00 485,469,600.00 0.00 485,469,600.00 -8,445,173.00 0.00
PT Bank Negara Indonesia IDR 1.00
(Persero) Tbk
ID1000097405 41,440.000 1,808.373263 74,938,988.00 74,938,988.00 84,952,000.00 0.00 84,952,000.00 10,013,012.00 10,013,012.00
ISAT 2,050.00 74,938,988.00 74,938,988.00 84,952,000.00 0.00 84,952,000.00 10,013,012.00 0.00
PT Indosat Tbk IDR 1.00
ID1000106107 4,810.000 7,570.135135 36,412,350.00 36,412,350.00 31,144,750.00 0.00 31,144,750.00 -5,267,600.00 -5,267,600.00
SGRO 6,475.00 36,412,350.00 36,412,350.00 31,144,750.00 0.00 31,144,750.00 -5,267,600.00 0.00
PT Prime Agri ResourcesTbk IDR 1.00
ID1000106800 25,715.000 2,689.946607 69,171,977.00 69,171,977.00 68,144,750.00 0.00 68,144,750.00 -1,027,227.00 -1,027,227.00
SMGR 2,650.00 69,171,977.00 69,171,977.00 68,144,750.00 0.00 68,144,750.00 -1,027,227.00 0.00
PT Semen Indonesia IDR 1.00
(Persero) Tbk
ID1000108103 14,245.000 3,570.584837 50,862,981.00 50,862,981.00 45,299,100.00 0.00 45,299,100.00 -5,563,881.00 -5,563,881.00
JSMR 3,180.00 50,862,981.00 50,862,981.00 45,299,100.00 0.00 45,299,100.00 -5,563,881.00 0.00
PT Jasa Marga (Persero) Tbk IDR 1.00
ID1000109507 298,405.000 7,920.128895 2,363,406,063.00 2,363,406,063.00 2,081,374,875.00 0.00 2,081,374,875.00 -282,031,188.00 -282,031,188.00
BBCA 6,975.00 2,363,406,063.00 2,363,406,063.00 2,081,374,875.00 0.00 2,081,374,875.00 -282,031,188.00 0.00
PT Bank Central Asia Tbk IDR 1.00
ID1000110802 45,695.000 1,025.451844 46,858,022.00 46,858,022.00 33,814,300.00 0.00 33,814,300.00 -13,043,722.00 -13,043,722.00
BSDE 740.00 46,858,022.00 46,858,022.00 33,814,300.00 0.00 33,814,300.00 -13,043,722.00 0.00
PT Bumi Serpong Damai Tbk IDR 1.00
ID1000113400 12,395.000 81,270.898669 1,007,352,789.00 1,007,352,789.00 961,232,250.00 0.00 961,232,250.00 -46,120,539.00 -46,120,539.00
DSSA 77,550.00 1,007,352,789.00 1,007,352,789.00 961,232,250.00 0.00 961,232,250.00 -46,120,539.00 0.00
PT Dian Swastatika Sentosa IDR 1.00
Tbk
ID1000118201 548,895.000 3,944.253156 2,164,980,836.00 2,164,980,836.00 1,954,066,200.00 0.00 1,954,066,200.00 -210,914,636.00 -210,914,636.00
BBRI 3,560.00 2,164,980,836.00 2,164,980,836.00 1,954,066,200.00 0.00 1,954,066,200.00 -210,914,636.00 0.00
PT Bank Rakyat Indonesia IDR 1.00
(Persero) Tbk
Page 2 of 9 Run date/time: 10/03/2026 19:11:35
The contents of this document are confidential and may also be legally privileged and are intended solely for parties with confidentiality agreements in place with this investment company. HLDPOS
Column headings note numbers in a security's local market currency as 'L' to indicate LOCAL currency and numbers in the Fund's currency as 'B' to indicate the Fund's in BASE currency
Page 3
Holdings Report of Positions at Market Value
Fund: XPIN - RD INDEKS BAHANA ETF PEFINDO I GRADE
Fund Currency: IDR
NAV Date: 10/03/2026
Sorted By: None
Security ID Quantity Cost price Original cost-L Amort cost-L Mkt Value-L Accured interest -L Total Mkt Val-L Total Unreal G/L-L Unreal Cap G/L-B
Other ID Orig Face Mkt Price Original cost-B Amort cost-B Mkt Value-B Accured interest-B Total Mkt Val-B Total Unreal G/L-B Unreal FX G/L-B
Security Description Ccy Int Rate Maturity Date FX Rate
ID1000122401 21,830.000 3,694.650985 80,654,231.00 80,654,231.00 111,333,000.00 0.00 111,333,000.00 30,678,769.00 30,678,769.00
PTRO 5,100.00 80,654,231.00 80,654,231.00 111,333,000.00 0.00 111,333,000.00 30,678,769.00 0.00
PT Petrosea Tbk IDR 1.00
ID1000123409 18,870.000 1,152.14372 21,740,952.00 21,740,952.00 10,755,900.00 0.00 10,755,900.00 -10,985,052.00 -10,985,052.00
TOBA 570.00 21,740,952.00 21,740,952.00 10,755,900.00 0.00 10,755,900.00 -10,985,052.00 0.00
PT TBS Energi Utama Tbk IDR 1.00
ID1000129000 367,410.000 2,918.296946 1,072,211,481.00 1,072,211,481.00 1,087,533,600.00 0.00 1,087,533,600.00 15,322,119.00 15,322,119.00
TLKM 2,960.00 1,072,211,481.00 1,072,211,481.00 1,087,533,600.00 0.00 1,087,533,600.00 15,322,119.00 0.00
PT Telkom Indonesia IDR 1.00
(Persero) Tbk
ID1000134406 91,575.000 2,248.218007 205,880,564.00 205,880,564.00 320,512,500.00 0.00 320,512,500.00 114,631,936.00 114,631,936.00
MDKA 3,500.00 205,880,564.00 205,880,564.00 320,512,500.00 0.00 320,512,500.00 114,631,936.00 0.00
PT Merdeka Copper Gold Tbk IDR 1.00
ID1000139405 10,360.000 814.189189 8,435,000.00 8,435,000.00 27,972,000.00 0.00 27,972,000.00 19,537,000.00 19,537,000.00
HRTA 2,700.00 8,435,000.00 8,435,000.00 27,972,000.00 0.00 27,972,000.00 19,537,000.00 0.00
PT HARTADINATA ABADI IDR 1.00
TBK
ID1000142904 33,115.000 2,619.117198 86,732,066.00 86,732,066.00 73,184,150.00 0.00 73,184,150.00 -13,547,916.00 -13,547,916.00
BRIS 2,210.00 86,732,066.00 86,732,066.00 73,184,150.00 0.00 73,184,150.00 -13,547,916.00 0.00
PT Bank Syariah Indonesia IDR 1.00
Tbk
ID1000143100 64,380.000 1,590.561619 102,400,357.00 102,400,357.00 83,372,100.00 0.00 83,372,100.00 -19,028,257.00 -19,028,257.00
HEAL 1,295.00 102,400,357.00 102,400,357.00 83,372,100.00 0.00 83,372,100.00 -19,028,257.00 0.00
PT Medikaloka Hermina Tbk IDR 1.00
ID1000187206 140,415.000 2,230.810811 313,239,300.00 313,239,300.00 179,029,125.00 0.00 179,029,125.00 -134,210,175.00 -134,210,175.00
CUAN 1,275.00 313,239,300.00 313,239,300.00 179,029,125.00 0.00 179,029,125.00 -134,210,175.00 0.00
PT Petrindo Jaya Kreasi Tbk IDR 1.00
ID1000188303 229,400.000 410.833051 94,245,102.00 94,245,102.00 173,197,000.00 0.00 173,197,000.00 78,951,898.00 78,951,898.00
MBMA 755.00 94,245,102.00 94,245,102.00 173,197,000.00 0.00 173,197,000.00 78,951,898.00 0.00
PT Merdeka Battery Materials IDR 1.00
Subtotal
COMMON STOCK - 100 (Base CCY) 11,179,072,177.00 11,179,072,177.00 10,430,043,960.00 0.00 10,430,043,960.00 -749,028,217.00 -749,028,217.00
0.00
Page 3 of 9 Run date/time: 10/03/2026 19:11:35
The contents of this document are confidential and may also be legally privileged and are intended solely for parties with confidentiality agreements in place with this investment company. HLDPOS
Column headings note numbers in a security's local market currency as 'L' to indicate LOCAL currency and numbers in the Fund's currency as 'B' to indicate the Fund's in BASE currency
Page 4
Holdings Report of Positions at Market Value
Fund: XPIN - RD INDEKS BAHANA ETF PEFINDO I GRADE
Fund Currency: IDR
NAV Date: 10/03/2026
Sorted By: None
Security ID Quantity Cost price Original cost-L Amort cost-L Mkt Value-L Accured interest -L Total Mkt Val-L Total Unreal G/L-L Unreal Cap G/L-B
Other ID Orig Face Mkt Price Original cost-B Amort cost-B Mkt Value-B Accured interest-B Total Mkt Val-B Total Unreal G/L-B Unreal FX G/L-B
Security Description Ccy Int Rate Maturity Date FX Rate
Subtotal
DBS ID - 126000 (Base CCY) 11,179,072,177.00 11,179,072,177.00 10,430,043,960.00 0.00 10,430,043,960.00 -749,028,217.00 -749,028,217.00
0.00
Grand Total
Fund level (Base CCY) 11,179,072,177.00 11,179,072,177.00 10,430,043,960.00 0.00 10,430,043,960.00 -749,028,217.00 -749,028,217.00
0.00
Page 4 of 9 Run date/time: 10/03/2026 19:11:35
The contents of this document are confidential and may also be legally privileged and are intended solely for parties with confidentiality agreements in place with this investment company. HLDPOS
Column headings note numbers in a security's local market currency as 'L' to indicate LOCAL currency and numbers in the Fund's currency as 'B' to indicate the Fund's in BASE currency
Page 5
Forwards Holdings Report
Fund: XPIN - RD INDEKS BAHANA ETF PEFINDO I GRADE
Fund Currency: IDR
NAV Date: 10/03/2026
No Data to Process
Page 5 of 9 Run date/time: 10/03/2026 19:11:35
The contents of this document are confidential and may also be legally privileged and are intended solely for parties with confidentiality agreements in place with this investment company. HLDPOS
Column headings note numbers in a security's local market currency as 'L' to indicate LOCAL currency and numbers in the Fund's currency as 'B' to indicate the Fund's in BASE currency
Page 6
Futures Holding Report
Fund: XPIN - RD INDEKS BAHANA ETF PEFINDO I GRADE
Fund Currency: IDR
NAV Date: 10/03/2026
Sorted By: None
Contract Details Opening Information Market Value Variation Margin Percent Of
Description Contract Size Future ID Sec ID Delivery Quantity Orig Price Current Price-L Current Mkt Value-L Unreal G/L-L Total Assets
Contract Manager/Sh Class Type Ccy Fx Rate Notional Amt Prior Price-L Current Mkt Value-B Unreal G/L-B Net Assets
No Data to Process
Page 6 of 9 Run date/time: 10/03/2026 19:11:35
The contents of this document are confidential and may also be legally privileged and are intended solely for parties with confidentiality agreements in place with this investment company. HLDPOS
Column headings note numbers in a security's local market currency as 'L' to indicate LOCAL currency and numbers in the Fund's currency as 'B' to indicate the Fund's in BASE currency
Page 7
Interest Rate, Credit Default, and Currency Swap Holdings Report
Fund: XPIN - RD INDEKS BAHANA ETF PEFINDO I GRADE
Fund Currency: IDR
NAV Date: 10/03/2026
Sorted By: None
Days
Contract Details
Nominal Amts Ccy Traded Interest Int Rate Freq / Basis Accd/Remain Accrued Interest Valuation Prices
GTI Type Contract Swap ID Settle Fund Fund Sold-L Fund Fund Fund Receivable – B Rate Fund Net Unrealized G/L
Manager / Share Class Factor Maturity Counter Counter Bought-L Counter Counter Counter Payable – B FX Rate Counter Net Interest
Exchange of Notional Auto maturity
No Data to Process
Page 7 of 9 Run date/time: 10/03/2026 19:11:35
The contents of this document are confidential and may also be legally privileged and are intended solely for parties with confidentiality agreements in place with this investment company. HLDPOS
Column headings note numbers in a security's local market currency as 'L' to indicate LOCAL currency and numbers in the Fund's currency as 'B' to indicate the Fund's in BASE currency
Page 8
Other Asset and Liability Holdings Report
Fund: XPIN - RD INDEKS BAHANA ETF PEFINDO I GRADE
Fund Currency: IDR
NAV Date: 10/03/2026
Sorted By: None
Account Details Opening Information Market Value-B % Of % Of
Current FX Current Mkt Value-
Account Number Suffix Account Account Description Manager Ccy Cost-L Cost-B Cost FX Rate Rate Unreal G/L-B B Market Value Total Assets
Subtotal Net Assets
126000 0 CASH AT BANK - DBS ID DBS ID IDR 76,238,341.00 76,238,341.00 1.000000 1.000000 0.00 76,238,341.00 37.48 0.71
100.00 0.72
1300 CASH AND CASH EQUIVALENCE 76,238,341.00 0.00 76,238,341.00 37.48 0.71
100.00 0.72
130100 0 UNSETTLED SALES - EQUITIES IDR 161,545,590.00 161,545,590.00 1.000000 1.000000 0.00 161,545,590.00 79.42 1.51
100.00 1.52
1400 UNSETTLED TRANS. RECEIVABLES 161,545,590.00 0.00 161,545,590.00 79.42 1.51
100.00 1.52
250050 0 DBS CUSTODIAN FEES ACCRUAL IDR -259,974.00 -259,974.00 1.000000 1.000000 0.00 -259,974.00 -0.13 0.00
19.99 0.00
252001 0 MANAGEMENT FEES ACCRUAL-CL01 IDR -371,392.00 -371,392.00 1.000000 1.000000 0.00 -371,392.00 -0.18 0.00
28.56 0.00
254000 0 AUDIT FEES ACCRUAL IDR -669,042.00 -669,042.00 1.000000 1.000000 0.00 -669,042.00 -0.33 -0.01
51.45 -0.01
2400 FEE ACCRUALS -1,300,408.00 0.00 -1,300,408.00 -0.64 -0.01
100.00 -0.01
270050 0 DBS CUSTODIAN FEES PAYABLE IDR -685,913.00 -685,913.00 1.000000 1.000000 0.00 -685,913.00 -0.34 -0.01
2.07 -0.01
274000 0 AUDIT FEES PAYABLE IDR -32,387,716.00 -32,387,716.00 1.000000 1.000000 0.00 -32,387,716.00 -15.92 -0.30
97.91 -0.30
275003 0 PPH 23 PAYABLE - ON FEE IDR -4,567.00 -4,567.00 1.000000 1.000000 0.00 -4,567.00 0.00 0.00
Page 8 of 9 Run date/time: 10/03/2026 19:11:35
The contents of this document are confidential and may also be legally privileged and are intended solely for parties with confidentiality agreements in place with this investment company. HLDPOS
Column headings note numbers in a security's local market currency as 'L' to indicate LOCAL currency and numbers in the Fund's currency as 'B' to indicate the Fund's in BASE currency
Page 9
Other Asset and Liability Holdings Report
Fund: XPIN - RD INDEKS BAHANA ETF PEFINDO I GRADE
Fund Currency: IDR
NAV Date: 10/03/2026
Sorted By: None
Account Details Opening Information Market Value-B % Of % Of
Current FX Current Mkt Value-
Account Number Suffix Account Account Description Manager Ccy Cost-L Cost-B Cost FX Rate Rate Unreal G/L-B B Market Value Total Assets
Subtotal Net Assets
0.01 0.00
2410 FEE PAYABLES -33,078,196.00 0.00 -33,078,196.00 -16.26 -0.31
99.99 -0.31
Grand Total: Fund Level 203,405,327.00 0.00 203,405,327.00 100.00 1.90
1.92
Page 9 of 9 Run date/time: 10/03/2026 19:11:35
The contents of this document are confidential and may also be legally privileged and are intended solely for parties with confidentiality agreements in place with this investment company. HLDPOS
Column headings note numbers in a security's local market currency as 'L' to indicate LOCAL currency and numbers in the Fund's currency as 'B' to indicate the Fund's in BASE currency
Names mentioned 28 people and organisations named in the text · linked when the evidence is strong
unresolved
org
PT Indah Kiat Pulp
p.1
unresolved
org
PT Chandra Asri
p.1
unresolved
org
Petrochemical Tbk
p.1
unresolved
org
PT Prime Agri ResourcesTbk
p.2
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20260310_XPIN_Laporan Harian atas Nilai Aktiva Bersih dan Komposisi Portofolio_32053095_lamp1.pdf
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20260310_XPIN_Laporan Harian atas Nilai Aktiva Bersih dan Komposisi Portofolio_32053095_lamp3.xlsx
done