Rp 26.3B
Total Portfolio Value
12
Active Investments
13
Total Investors
9.7%
Average Return

Current Investment Portfolio

SUK-IJR-2024-001

9.00% Return

Kapten Naratel

Investment Details

Type: IJARAH

Value: Rp 1,000M

Tenor: 36 months

Status: ACTIVE

Performance

Invested: Rp 600M

Investors: 5

Issue Date: Oct 2025

Maturity: Oct 2028

Underlying Asset

Gedung Perkantoran Tower A, Jakarta Selatan

SUK-MRB-2024-002

11.00% Return

Kapten Naratel

Investment Details

Type: MURABAHAH

Value: Rp 2,000M

Tenor: 24 months

Status: ACTIVE

Performance

Invested: Rp 0M

Investors: 3

Issue Date: Dec 2025

Maturity: Dec 2027

Underlying Asset

Pembiayaan Infrastruktur Telekomunikasi

SUK-MDB-2024-003

10.00% Return

Kapten Naratel

Investment Details

Type: MUDHARABAH

Value: Rp 1,500M

Tenor: 60 months

Status: ACTIVE

Performance

Invested: Rp 0M

Investors: 2

Issue Date: Jan 2026

Maturity: Jan 2031

Underlying Asset

Proyek Pengembangan Bisnis Digital

SUK-IJR-2024-004

8.50% Return

Kapten Naratel

Investment Details

Type: IJARAH

Value: Rp 800M

Tenor: 48 months

Status: SUSPENDED

Performance

Invested: Rp 0M

Investors: 3

Issue Date: Feb 2026

Maturity: Feb 2030

Underlying Asset

Warehouse dan Logistik Center, Tangerang

SUK-20260409

9.00% Return

Kapten Naratel

Investment Details

Type: IJARAH

Value: Rp 1,000M

Tenor: 24 months

Status: ACTIVE

Performance

Invested: Rp 0M

Investors: 0

Issue Date: Apr 2026

Maturity: Apr 2028

Underlying Asset

Perangkat jaringan (OLT, ONT, server, router, kabel fiber optik) untuk infrastruktur telekomunikasi Kapten Naratel

SUK-20260478

10.00% Return

Kapten Naratel

Investment Details

Type: IJARAH

Value: Rp 3,000M

Tenor: 36 months

Status: ACTIVE

Performance

Invested: Rp 0M

Investors: 0

Issue Date: Apr 2026

Maturity: Apr 2029

Underlying Asset

Perangkat jaringan (OLT, ONT, server, router, kabel fiber optik) untuk infrastruktur telekomunikasi Kapten Naratel di wilayah Malang

SUK-20260457

9.00% Return

Kapten Naratel

Investment Details

Type: IJARAH

Value: Rp 3,000M

Tenor: 36 months

Status: DRAFT

Performance

Invested: Rp 0M

Investors: 0

Issue Date: Apr 2026

Maturity: Apr 2029

Underlying Asset

Perangkat jaringan fiber optik (OLT, ONT, router), Jaringan sudah melayani 6,000 rumah, dan rata rata device terhubung adalah 24 ribu

SUK-20260466

8.50% Return

Kapten Naratel

Investment Details

Type: IJARAH

Value: Rp 3,000M

Tenor: 36 months

Status: DRAFT

Performance

Invested: Rp 0M

Investors: 0

Issue Date: Apr 2026

Maturity: Apr 2029

Underlying Asset

Perangkat jaringan fiber optik (OLT, ONT, router) untuk ekspansi layanan internet Kapten Naratel di wilayah Jawa Timur dan Bali dengan total nilai aset Rp 3.2 Miliar.

SUK-20260475

10.00% Return

Kapten Naratel

Investment Details

Type: MUDHARABAH

Value: Rp 2,500M

Tenor: 60 months

Status: DRAFT

Performance

Invested: Rp 0M

Investors: 0

Issue Date: Apr 2026

Maturity: Apr 2031

Underlying Asset

aset kapten

SUK-20260460

11.00% Return

Kapten Naratel

Investment Details

Type: MURABAHAH

Value: Rp 5,000M

Tenor: 36 months

Status: DRAFT

Performance

Invested: Rp 0M

Investors: 0

Issue Date: Apr 2026

Maturity: Apr 2029

Underlying Asset

Pembelian perangkat teknologi dan infrastruktur digital untuk ekspansi layanan internet Kapten Naratel dengan skema jual beli bertahap.

SUK-20260424

9.00% Return

Kapten Naratel

Investment Details

Type: MURABAHAH

Value: Rp 2,500M

Tenor: 60 months

Status: DRAFT

Performance

Invested: Rp 0M

Investors: 0

Issue Date: Apr 2026

Maturity: Apr 2031

Underlying Asset

Pembelian perangkat teknologi dan infrastruktur digital untuk ekspansi layanan internet Kapten Naratel dengan skema jual beli bertahap.

SUK-20251205

11.00% Return

Kapten Naratel

Investment Details

Type: MURABAHAH

Value: Rp 1,000M

Tenor: 60 months

Status: ACTIVE

Performance

Invested: Rp 0M

Investors: 0

Issue Date: Dec 2025

Maturity: Dec 2030

Underlying Asset

test

Our Investment Strategy

Due Diligence

Rigorous analysis of financial health, business model, and Shariah compliance before any investment decision.

Risk Management

Diversified portfolio across sectors and geographies to minimize risk while maximizing returns.

Performance Monitoring

Continuous monitoring and evaluation of investment performance with regular reporting to stakeholders.

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