Weekly Market Recap 9-13 March 2026

Iran tensions push oil prices higher and trigger global market selloff, weighing on JCI and raising inflation risks worldwide.
Weekly Market Recap 2-6 March 2026

Global markets corrected as geopolitical tensions lifted oil prices. Indonesia faced pressure after Fitch revised outlook to negative.
Weekly Market Recap 23 – 27 February 2026

Markets pressured by geopolitical risk and inflation. Indonesia faces fiscal concerns as investors rotate to defensive assets.
Weekly Market Recap 16 – 20 February 2026

Global markets rebound amid geopolitical risks, Indonesia gains modestly as investors favor quality assets and commodities.
Weekly Market Recap 9-13 February 2026

Indonesian equities rebounded on policy support, while global risks and foreign sentiment keep a defensive strategy in focus.
Weekly Market Recap 2-6 February 2026

Indonesian markets remained under pressure amid MSCI and global risks, driving investors toward defensive assets and USD exposure.