Empowering Indonesian Capital Markets

Institutional Precision.
Global Expertise.

Korea Investment Management Indonesia bringing decades of financial leadership, quantitative rigor, and cross-border innovation to empower institutional and private investors.

Market Dashboard

LIVE MARKET

Total Asset Under Management

IDR 14.8 Trillion

+12.4% YoY

KIMI Equity Balanced Fund

NAV 2,450.12

+18.2% YTD

KIMI Fixed Income Strategy

NAV 1,890.45

+8.5% YTD

About Korea Investment Management

A Legacy of Investment Excellence

01

Global Heritage

Leveraging Korea's top financial group backing with over 40 years of market expertise.

02

Local Synergy

Deep integration into Indonesian capital markets to capture high-alpha opportunities.

03

Quantitative Rigor

Proprietary risk assessment models tailored for volatile emerging market dynamics.

04

Fiduciary Trust

Strict regulatory compliance and complete transparency for institutional mandates.

Our Solutions

6 Institutional Grade Services

Equity Asset Management

High-conviction stock portfolios designed to outperform market benchmarks through fundamental research.

Fixed Income Strategies

Capital preservation and steady cash flows through sovereign and corporate bond investments.

Discretionary Mandates

Customized wealth solutions tailored exclusively for ultra-high-net-worth individuals and corporate treasuries.

Cross-Border Funds

Direct access to Korean tech giants, Asian growth equities, and global ETF strategies.

ESG & Sustainable Investing

Pioneering green energy and sustainable governance frameworks integrated into asset selection.

Structured Products

Risk-defined investment vehicles capitalizing on specific market conditions and derivative overlays.

Investment Products

Flagship Funds

Updated Daily | Registered & Supervised by OJK
Equity Fund

KIMI Indonesia Growth Equity

1Y Return

+21.4%

Invests in top-tier Indonesian blue-chip growth equities driving the national digital transformation.

AUMIDR 4.2 Trillion
Risk ProfileHigh
Fixed Income

KIMI Stable Yield Bond Fund

1Y Return

+9.2%

Focuses on high-grade Indonesian government bonds and AAA-rated corporate debt for consistent income.

AUMIDR 6.8 Trillion
Risk ProfileModerate

Interactive Tool

Investment ROI Calculator

Simulate your portfolio growth over time with compound returns based on historical performance strategy.

Initial Investment (IDR) 50,000,000
Monthly Contribution (IDR) 5,000,000
Investment Horizon (Years) 5 Years
Expected Annual Return (%) 12%

Estimated Total Value

IDR 443,450,120

Total Principal IDR 350,000,000
Estimated Profit IDR 93,450,120

Leadership

Executive Management Team

SK

Sung-Min Kim

President Director & CEO

Ex-KIM Seoul with 22+ years in Asian macro fund management.

BP

Budi Santoso, CFA

Chief Investment Officer

18 years driving equity strategy in Indonesian top asset firms.

HJ

Hee-Jin Park

Head of Risk & Quantitative Strategy

Specialist in algorithmic portfolio risk and stress modeling.

RW

Rina Wijaya

Head of Institutional Sales

Managing relationships with sovereign wealth & pension funds.

Get In Touch

Connect with Our Investment Team

Whether you are an institutional client seeking custom mandates or an individual investor looking for fund details, our advisors are here to assist.

Phone

+6282373005964

Email

admin@bajukeren.site

Headquarters

Financial District, Jakarta, Indonesia

Send a Message