Indonesia Mutual Fund: Asset Under Management: Net Asset Value: by Securities

Mutual Fund: AUM: Net Asset Value: Securities: Bank Indonesia Rupiah Securities

2023 - 2025 | Monthly | IDR bn | Indonesia Financial Services Authority

Mutual Fund: AUM: Net Asset Value: Securities: Bank Indonesia Rupiah Securities data was reported at 5,222.760 IDR bn in Mar 2025. This records a decrease from the previous number of 5,460.689 IDR bn for Feb 2025. Mutual Fund: AUM: Net Asset Value: Securities: Bank Indonesia Rupiah Securities data is updated monthly, averaging 3,658.479 IDR bn from Oct 2023 (Median) to Mar 2025, with 18 observations. The data reached an all-time high of 7,938.254 IDR bn in Nov 2024 and a record low of 9.582 IDR bn in Oct 2023. Mutual Fund: AUM: Net Asset Value: Securities: Bank Indonesia Rupiah Securities data remains active status in CEIC and is reported by Indonesia Financial Services Authority. The data is categorized under Indonesia Premium Database’s Financial Market – Table ID.ZD007: Mutual Fund: Asset Under Management: Net Asset Value: by Securities.

Last Frequency Range
5,460.689 Feb 2025 monthly Oct 2023 - Feb 2025

View Indonesia's Mutual Fund: AUM: Net Asset Value: Securities: Bank Indonesia Rupiah Securities from Oct 2023 to Feb 2025 in the chart:

Indonesia Mutual Fund: AUM: Net Asset Value: Securities: Bank Indonesia Rupiah Securities

Mutual Fund: AUM: Net Asset Value: Securities: Commercial Paper

2022 - 2024 | Monthly | IDR bn | Indonesia Financial Services Authority

Mutual Fund: AUM: Net Asset Value: Securities: Commercial Paper data was reported at 198.091 IDR bn in Nov 2024. This records an increase from the previous number of 196.913 IDR bn for Oct 2024. Mutual Fund: AUM: Net Asset Value: Securities: Commercial Paper data is updated monthly, averaging 200.464 IDR bn from Dec 2022 (Median) to Nov 2024, with 23 observations. The data reached an all-time high of 214.444 IDR bn in Nov 2023 and a record low of 186.196 IDR bn in Jan 2024. Mutual Fund: AUM: Net Asset Value: Securities: Commercial Paper data remains active status in CEIC and is reported by Indonesia Financial Services Authority. The data is categorized under Indonesia Premium Database’s Financial Market – Table ID.ZD007: Mutual Fund: Asset Under Management: Net Asset Value: by Securities.

Last Frequency Range
198.091 Nov 2024 monthly Dec 2022 - Nov 2024

View Indonesia's Mutual Fund: AUM: Net Asset Value: Securities: Commercial Paper from Dec 2022 to Nov 2024 in the chart:

Indonesia Mutual Fund: AUM: Net Asset Value: Securities: Commercial Paper

Mutual Fund: AUM: Net Asset Value: Securities: Perpetual Bond

2024 - 2025 | Monthly | IDR bn | Indonesia Financial Services Authority

Mutual Fund: AUM: Net Asset Value: Securities: Perpetual Bond data was reported at 388.822 IDR bn in Mar 2025. This records a decrease from the previous number of 429.431 IDR bn for Feb 2025. Mutual Fund: AUM: Net Asset Value: Securities: Perpetual Bond data is updated monthly, averaging 60.127 IDR bn from Jan 2024 (Median) to Mar 2025, with 15 observations. The data reached an all-time high of 440.047 IDR bn in Jan 2025 and a record low of 0.697 IDR bn in Dec 2024. Mutual Fund: AUM: Net Asset Value: Securities: Perpetual Bond data remains active status in CEIC and is reported by Indonesia Financial Services Authority. The data is categorized under Indonesia Premium Database’s Financial Market – Table ID.ZD007: Mutual Fund: Asset Under Management: Net Asset Value: by Securities.

Last Frequency Range
429.431 Feb 2025 monthly Jan 2024 - Feb 2025

View Indonesia's Mutual Fund: AUM: Net Asset Value: Securities: Perpetual Bond from Jan 2024 to Feb 2025 in the chart:

Indonesia Mutual Fund: AUM: Net Asset Value: Securities: Perpetual Bond

Mutual Fund: Net Asset Value: Securities: Depository Receipt

2017 - 2025 | Monthly | IDR bn | Indonesia Financial Services Authority

Mutual Fund: Net Asset Value: Securities: Depository Receipt data was reported at 4.604 IDR bn in Mar 2025. This records a decrease from the previous number of 27.589 IDR bn for Feb 2025. Mutual Fund: Net Asset Value: Securities: Depository Receipt data is updated monthly, averaging 34.472 IDR bn from Jan 2017 (Median) to Mar 2025, with 31 observations. The data reached an all-time high of 587.025 IDR bn in Jan 2017 and a record low of 0.491 IDR bn in May 2017. Mutual Fund: Net Asset Value: Securities: Depository Receipt data remains active status in CEIC and is reported by Indonesia Financial Services Authority. The data is categorized under Indonesia Premium Database’s Financial Market – Table ID.ZD007: Mutual Fund: Asset Under Management: Net Asset Value: by Securities.

Last Frequency Range
27.589 Feb 2025 monthly Jan 2017 - Feb 2025

View Indonesia's Mutual Fund: Net Asset Value: Securities: Depository Receipt from Jan 2017 to Feb 2025 in the chart:

Indonesia Mutual Fund: Net Asset Value: Securities: Depository Receipt
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