Weekly Market Update

Unpacking Indonesia's Consumer Landscape: Ethnographic Insights

May 13, 2024

Fresh from a significant research expedition in Indonesia, Tassos Stassopoulos of Trinetra Investment Management shares his insights with Jonathan Ramsay on the changing dynamics of the Indonesian market, focusing particularly on the influential Gen Z demographic. This research is crucial as Indonesia stands poised to capitalise on its demographic dividend, potentially positioning itself as the "next India" in terms of explosive economic growth.

During their in-depth six-day trip, Tassos and his team applied a meticulous "4i process" — usually thats Information, Insights, Ideas and Implication but in this case were can add Intense periods of Information gathering, Individual Interviews, and Immersive interactions. This all combines to add to understanding the nuanced behaviours shaping Indonesia’s future. A key goal was to assess whether Indonesia is at an economic "takeoff stage," driven by the attitudes and values of its youth.

A pivotal observation by the team was the marked shift in values among Indonesian youth. Moving away from the fatalistic attitudes shaped by socio-economic status and religious expectations prevalent in older generations, today's young Indonesians show an inclination towards personal achievements and meritocratic success. This significant cultural shift signals potential transformative changes in consumer markets and broader investment landscapes.

Tassos shares an example of how a woman in Jakarta is cutting costs by switching from popular ride-hailing apps to more affordable newcomers. This behaviour indicates a potential competitive threat to established market leaders such as Gojek and Grab, paving the way for the emergence of challengers like Maxim and Indrive in the mobility sector.

Beyond individual consumer behaviours, the team also explored the macroeconomic context of Indonesia. This included assessing the broader economic environment, policy frameworks, and potential sectors for investment

Acting as our "sentinels" on the look out for  macroeconomic shifts and micro-level changes, this is a good example of how we use managers to help us get below the surface and ahead of red curve and in this respect, Trineatra are particularly valuable. Back to their process though, the team’s ongoing analysis aims to convert observations into investable hypotheses. These are rigorously tested to ensure they withstand market pressures, thereby guiding strategic investment decisions. In the coming weeks, we will have further discussions with Tassos and his team as they continue to distil their findings into actionable insights and potential portfolio ideas.

Markets Shrug Off Surprise Upside in US Inflation

January 30, 2025
Despite a higher-than-expected rise in US CPI for December 2022, markets remained relatively sanguine over the implications for growth and monetary policy.
Read More

Rocking the Boat - Equities Stumble After Big Tech Selloff

January 30, 2025
After outsized gains in big tech stocks last year, global equities have stumbled over the past week amidst a tech selloff, challenging the notion of their invulnerability and potentially signaling a shift in market optimism tied to recent liquidity trends.
Read More

Recap of 2023: Two Stories With The Same Ending

January 30, 2025
This week started with more optimism about the US economy and further stock market gains until a sharp pullback on Wednesday snapped the US market’s nine-session winning streak. Thursday then saw a recovery, putting the S&P 500 back on track for an eighth week of gains, after US inflation data showed a gradual economic cooling in line with Fed hopes.
Read More

Santa (Powell) Has Come Early For Markets

January 30, 2025
The last week in markets, as is often the case, was totally dominated by the US economy and monetary policy. In this case it was an encouraging inflation print on Wednesday, followed by the US Fed’s decision to keep rates on hold the next day.
Read More

Big Tech Flexes Its Muscles With Late Week Surge

January 30, 2025
It was a mixed week in global financial markets as the market continued to assess the likelihood of a hard or soft landing next year and the implication for inflation and interest
Read More

Booming Small Caps to Bond Spreads Tightening

January 30, 2025
It was a mildly positive week for global markets, with the S&P/ASX 300 gaining 0.7%. International developed markets were down 0.4% in AUD terms as measured by the MSCI World ex-Australia index.
Read More

Bond Market Turmoil: Inside the April 2025 Volatility

May 5, 2025
Read More

Markets Caught Between Tension and Relief

May 5, 2025
Read More

Relief, Rally, Retreat: A Turbulent Week for Global Markets

April 16, 2025
Read More

When the Rule Book Gets Ripped Up: Why Active Management and Valuation Discipline—Matters More Than Ever

April 16, 2025
Read More

Tariffs Trigger Capital Retrenchment and Recessionary Risks with Economist Andrew Hunt

April 16, 2025
Read More

Markets in Flux: Navigating the Fallout from Tariffs and Global Tensions

April 16, 2025
Read More
No items found.
No items found.
No items found.
Icon of a letter

InvestSense insights, delivered straight to your inbox.

Icon of a letter

Get the latest industry news

Icon of a letter

Get the latest industry news

Icon of a letter

Get the latest industry news