Weekly Market Recap 23-27 June 2025

Global markets rallied as Iran conflict eased and US-China trade deal progressed. Rupiah strengthened, domestic markets poised to rebound.
Weekly Market Recap 16 – 20 June 2025

JCI fell 3.5% amid geopolitical risks & FTSE rebalancing. Energy prices may rise, opening opportunities in commodity-related stocks.
Monthly Macro Review : Negotiation

US–China trade deal lifted sentiment, despite rising US fiscal risks. BI cut rates, JCI jumped 14.4% over the past 3 months.
Market Buzz : Midnight Hammer Strikes

JCI fell 1.7% as Iran-Israel conflict escalates. Middle East tensions raise oil risks and market volatility.
Weekly Market Recap 9 – 13 June 2025

Markets dropped after Israel-Iran strike, but rising commodity prices may open opportunities for equity investors.
Global Market Commentary : May 2025

Market volatility rose in May 2025. The US-China trade deal boosted sentiment despite US fiscal risks looming.