Weekly Market Recap 26-30 January 2026

MSCI concerns triggered a sharp sell-off in Indonesia as markets await clarity on reforms and global policy direction.
Weekly Market Recap 19 – 23 January 2026

Indonesian markets corrected amid global volatility, while the economic outlook remains supported by policy and fiscal spending.
Monthly Macro Review : Recalibration

December 2025 markets were driven by Fed rate cuts, global central bank divergence, and strengthening Indonesia’s macro fundamentals.
Weekly Market Recap 12 – 16 January 2026

Global markets face geopolitical stress and Fed concerns, while EM rotation and commodity rally support JCI and capital inflows.
Weekly Market Recap 5 – 9 January 2026

Global markets stayed resilient despite geopolitical risks, while Indonesia benefited from EM rotation and strong foreign inflows.
Money Market Commentary : December 2025

Bank Indonesia raised SRBI yields and deposit rates to support rupiah stability and keep the money market attractive in 2026.