Investor Presentaiton
250
200
Mutual Fund
Capital Market Performance
The industry enjoyed favorable development up to
2012 and it showed consolidation by June 2013
Composition of mutual funds NAV by type of
investment as of July 2013 which totalled at
USD 18.89 billion
212
202
194
Sharia-Protection.
0.06
0.33%
Sharia-Mixed
0.25
1.31%
Sharia-Equity.
0.12
0.63%
Sharia-Fixed Income Sharia-money Index
Sharia-Index market
0.14
0.00
0.73%
0.01%
ETF-Fixed Income
0.04
0.20%
0.00
0.02%
ETF-Equity
153
150
117
114
115
0.42
2.23%
Money Market,
1.18
99
92
6.26%
Mixed
100
82
74
70
2.29
12.13%
61
52
54
Equity
7.72
50
36
40.86%
29.
21
2005
2006
2007 2008
2009
2010
2011
2012 Jun-13
NAV (IDR trillion)
Outs Units (billion)
Source: OJK
APEI
Fixed Income
2.94
15.55%
Capital Protection
Fund
3.67
19.42%
Source: OJK
15
0.03
0.13%
ETF-Index
0.035
0.19%View entire presentation