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20250904_XBIN_Laporan Harian atas Nilai Aktiva Bersih dan Komposisi Portofolio_31937295_lamp1.pdf

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Page 1
                                                                                Net Asset Value Report
                                                                   Fund: XPIN - RD INDEKS BAHANA ETF PEFINDO I GRADE
                                                                                      Fund Currency: IDR
                                                                                 Current NAV Date: 03/09/2025
                                                                                  Prior NAV Date: 02/09/2025
                                                                                 NAV Type: Official , Historical

Group    GL Account                    Account Description                                                                                                                     Balance                                      Total

100000                                 INVESTMENT AT COST - LONG                                                                                                                                                2,417,222,329.00
         100100                        COST - COMMON STOCK                                                                                                            2,417,222,329.00

110000                                 UNREALIZED CAPITAL GAIN/LOSS                                                                                                                                              555,330,745.00
         110100                        URG CAP - COMMON STOCK                                                                                                           603,016,074.00
         111100                        URL CAP - COMMON STOCK                                                                                                           -47,685,329.00

130000                                 CASH AND CASH EQUIVALENCE                                                                                                                                                  39,808,067.00
         126000                        CASH AT BANK - DBS ID                                                                                                              39,808,067.00

240000                                 FEE ACCRUALS                                                                                                                                                               -26,980,857.00
         250050                        DBS CUSTODIAN FEES ACCRUAL                                                                                                            -31,375.00
         252001                        MANAGEMENT FEES ACCRUAL-CL01                                                                                                          -44,822.00
         254000                        AUDIT FEES ACCRUAL                                                                                                                -26,904,660.00

241000                                 FEE PAYABLES                                                                                                                                                                  -440,539.00
         270050                        DBS CUSTODIAN FEES PAYABLE                                                                                                            -181,400.00
         272001                        MANAGEMENT FEES PAYABLE-CL01                                                                                                          -259,139.00

                                       Sub-total NAV                                                                                                                                                            2,984,939,745.00

                                       Net asset value                                                                                                                                                          2,984,939,745.00




                                                                                                   Page 1 of 2                                                                                                      Run date/time: 03/09/2025 17:30:37
          Please check this report carefully and notify us within fourteen (14) days from receipt of this report of any discrepancies or inaccuracies, otherwise it will be considered conclusive and binding                                 NETVAL
Page 2
                                                                                                    Net Asset Value Report
                                                                                       Fund: XPIN - RD INDEKS BAHANA ETF PEFINDO I GRADE
                                                                                                          Fund Currency: IDR
                                                                                                     Current NAV Date: 03/09/2025
                                                                                                      Prior NAV Date: 02/09/2025
                                                                                                     NAV Type: Official , Historical

                            Current NAV Date: 03/09/2025                                                                     Prior NAV Date: 02/09/2025                                                                              Variations

Summary
                 Shares                                                                                Shares                                                                                            Shares
                              NAV Price                Bid Price             Offer Price                                       NAV Price                Bid Price             Offer Price                                  NAV Price (%)     Bid Price (%)          Offer Price (%)
             Outstanding                                                                           Outstanding                                                                                       Outstanding


Fund Level   4,600,000.00                                                                           4,600,000.00                                                                                               0.00

C01          4,600,000.00       648.8999               648.8999                 648.8999            4,600,000.00                  636.958                 636.958                 636.958                      0.00      11.9419 (1.87%)   11.9419 (1.87%)         11.9419 (1.87%)




                                                                                                                       Page 2 of 2                                                                                                                Run date/time: 03/09/2025 17:30:37
                              Please check this report carefully and notify us within fourteen (14) days from receipt of this report of any discrepancies or inaccuracies, otherwise it will be considered conclusive and binding                                           NETVAL

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