Panin Asset Management is Indonesia’s leading asset management firm specializing in various investment vehicles such as stocks, bonds, and money market
instruments. Headquartered in Jakarta, Panin Asset Management services individual investors, private institutions and Government agencies to meet their
individual and corporate financial objectives through an array of investments. Panin Asset Management offers conventional, limited, and protected mutual funds,
as well as separate accounts.
Established in 1997, Panin Asset Management pioneers as one of the first mutual fund managers in Indonesia. Over the years, the company has been the local
frontrunner, having overcome various economic turbulences particularly three financial crises in 1997, 2001 and 2008. The company’s mutual fund, Panin Dana
Maksima, surfaces as one of the funds to have the longest proven track record in Indonesia.
Panin Asset Management distinguishes itself as a research-based investment firm. Each investment fund is fully supported by dedicated internal research team
performing meticulous fundamental analysis, risk identification, and valuation of investments.
Recognition as Market Leader by Industry
Panin Asset Management takes pride in managing the third largest combined asset under management of equity and balanced mutual funds in Indonesia. It is
bestowed the title market leader through consistently earning numerous awards, honours from media, and recognitions from local and international rating
As a local player, Panin Asset Management has exceptional local expertise and advantages over our competitors:
Indonesia is the core of the group’s business. Panin Asset Management puts utmost effort in ensuring the operational survival, expansion and
strengthening of our business presence in Indonesia even in the face of revolving global economic challenges.
Knowledge and Expertise
The group’s established domestic presence has enabled Panin Asset Management to develop local expertise through access to local knowledge within the
capital market industry and primary sources in regards to the state of the economy, financial, socio-political, and national security in Indonesia.
Panin Asset Management concentrates on investment products issued in Indonesia and further sharpen our focus on those we have thorough understanding of.
In-depth and cumulative research on such products will ameliorate and perfect our analysis to ultimately produce superior investment results.