In this episode titled “Indonesia mau di-downgrade MSCI?”, we dive into one of the biggest questions investors had after the recent market volatility:
Is Indonesia really at risk of being downgraded by MSCI
What does it mean for your portfolio?
What we discuss include:
Breaking down the fear vs the facts
Explain how global index decisions work
Why short-term headlines shouldn’t drive long-term investment choices
The importance of entry price, valuation discipline, and staying focused on fundamentals rather than market noise
If you’ve been tracking market swings and wondering how structural decisions like MSCI classifications affect your long-term wealth building, this episode gives a clear, grounded perspective — complete with real-world examples and client questions answered in real time.
Even if you chance upon this long after the MSCI fiasco, the lessons learned are timeless. Adhering to these principles may help you weather through future storms in the equity market, and maybe even in life.



