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Pendapatan Broker Keuangan Indonesia Diperkirakan Akan Mencapai sekitar IDR 6 Triliun pada akhir tahun 2023: Ken Research

05-05-2023 08:05 AM CET | Business, Economy, Finances, Banking & Insurance

Press release from: Ken Research

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Tren Utama
• Dengan prospek ekonomi Indonesia yang stabil dan positif, fokus pemerintah pada pembangunan infrastruktur sekitar Rp 2,394 triliun pada tahun 2024, dan upaya berkelanjutan dari bursa efek dan badan-badan terkait lainnya untuk menanamkan kesadaran tentang pasar modal, nilai investasi yang diperdagangkan pasti akan membentuk pendapatan industri selama periode perkiraan.
• Ketergantungan pada pinjaman berbasis bank oleh perusahaan juga diperkirakan akan turun dan industri dapat menyaksikan peningkatan jumlah IPO, SPO dan obligasi korporasi yang menghasilkan peluang pertumbuhan yang lebih tinggi bagi perusahaan pialang dalam menawarkan layanan penjaminan, pialang dan manajemen aset.
• Segmen ekuitas pasar modal akan terus mendominasi pendapatan industri karena pengembalian yang lebih tinggi, investasi berkelanjutan oleh manajer aset reksa dana, tingkat likuiditas yang tinggi, perkiraan crossing Indeks Harga Saham Gabungan sebesar 7.000 poin pada tahun 2019 sementara pertumbuhan instrumen utang akan ditentukan terutama oleh kebutuhan modal pemerintah.

Unduh Contoh Laporan:
https://www.kenresearch.com/sample-report.php?Frmdetails=NTk2NDA1

Investasi Asing - Kunci keberhasilan Indonesia: Indonesia telah menjadi pusat utama investasi asing di antara negara-negara Asia dengan pertumbuhan tercepat. Meningkatnya pendapatan sekali pakai penduduk ditambah dengan suku bunga yang lebih rendah membuat negara ini menjadi pusat investasi pilihan untuk investasi asing. Dengan meningkatnya jumlah perusahaan asing yang go public dan investor asing mengambil keuntungan dari pasar keuangan yang terbelakang, industri ini diperkirakan akan tumbuh pada kecepatan yang lebih cepat sekitar 7,7% selama 2018-2023E.

Meningkatkan Investasi di Segmen Reksa Dana: Aset yang dikelola perusahaan telah tumbuh pesat dengan CAGR sebesar 22,6% selama 2013-2018. Tren serupa diperkirakan akan berlanjut karena prospek ekonomi yang stabil dan masuknya lebih banyak perusahaan ke segmen reksa dana karena investasi dalam instrumen ekuitas dan utang pasti akan meningkat, yang pada akhirnya akan menguntungkan industri pialang.
Dengan struktur harga oligopolistik dan tekanan terus-menerus untuk tetap kompetitif dan menguntungkan, fokus perusahaan pialang dapat beralih ke pengurangan biaya yang dapat mempromosikan pembentukan kemitraan strategis di antara perusahaan pialang lokal. Masuknya perusahaan baru yang berbasis di Malaysia, Singapura, Thailand, Cina, India dan negara berkembang dan maju lainnya diperkirakan akan terjadi yang akan melanjutkan persaingan di tahun-tahun mendatang, menimbulkan ancaman bagi perusahaan pialang lokal.

Untuk laporan yang disesuaikan, klik di sini:
https://www.kenresearch.com/ask-customization.php?Frmdetails=NTk2NDA1

Analis di Ken Research dalam publikasi terbaru mereka "Prospek Pasar Broker Keuangan Indonesia hingga 2023- Berdasarkan Nilai Investasi Ekuitas dan Utang yang Diperdagangkan, Pendapatan dan Frekuensi Transaksi dan Oleh Perusahaan Pialang Lokal dan Global" percaya bahwa akan ada peningkatan persaingan dari masuknya perusahaan global baru di industri ini dan tetap menguntungkan di pasar yang sangat terfragmentasi, Penting untuk membangun kompetensi inti di berbagai segmen pasar dengan memanfaatkan kemitraan strategis, kualitas layanan yang unggul dan menawarkan berbagai produk dan layanan yang lebih luas kepada klien. Analis juga percaya bahwa model broker diskon dapat mengubah struktur harga industri dengan membebankan pembayaran tahunan tetap dan memungut biaya transaksi pada tingkat diskon sekitar 0,10%. Pasar diperkirakan akan mencatat CAGR positif sebesar 7,7% dalam hal pendapatan yang dihasilkan selama periode perkiraan 2018-2023.

Segmen Utama yang Dicakup:
Berdasarkan Jenis Kategori Investasi:
• Investasi Ekuitas
 Saham
 Hak
 Waran
 ETF
 REIT
• Kategori Investasi Utang
 Obligasi Pemerintah
 Obligasi Korporasi
Berdasarkan Jenis Perusahaan Pialang:
• Perusahaan Lokal
• Perusahaan Global

Periode waktu yang tercantum dalam laporan:
• Periode Sejarah - 2013-2018
• Periode Prakiraan - 2018-2023E

Perusahaan yang Dicakup:
• Mandiri Sekuritas
• CGS-CIMB Sekuritas Indonesia
• UBS Sekuritas Indonesia
• Mirae Asset Sekuritas Indonesia
• Indo Premier Sekuritas
• Yuanta Sekuritas Indonesia
• Macquarie Sekuritas Indonesia
• Valbury Sekuritas Indonesia
• Trimegah Sekuritas Indonesia Tbk
• Citigroup Indonesia

Topik utama yang dibahas dalam laporan
• Ringkasan Eksekutif
• Metodologi Penelitian
• Analisis Ekonomi Indonesia
• Perbandingan Silang Indonesia dengan Negara Berkembang Asia Selatan lainnya
• Ekosistem Pasar Broker Keuangan Indonesia
• Ikhtisar Pasar Broker Keuangan Indonesia dan Genesis
• Model Bisnis di Pasar Broker Keuangan Indonesia
• Snapshot Profil Investor di Pasar Broker Keuangan Indonesia.
• Ukuran Pasar Broker Keuangan Indonesia, 2013-2018
• Segmentasi Pasar Broker Keuangan Indonesia, 2013-2018
• Snapshot Perdagangan Pasar Modal Syariah
• Pendorong Pertumbuhan di Pasar Broker Keuangan Indonesia
• Perkembangan Terkini di Pasar Broker Keuangan Indonesia
• Isu dan Tantangan di Pasar Broker Keuangan Indonesia
• Kriteria pengambilan keputusan nasabah di Pasar Broker Keuangan Indonesia
• Lanskap Kompetitif di Pasar Broker Keuangan Indonesia
• Prospek dan Proyeksi Masa Depan Pasar Broker Keuangan Indonesia, 2019-2023
• Rekomendasi Analis di Pasar Broker Keuangan Indonesia
• Studi Kasus kesuksesan Zerodha di Pasar Pialang Keuangan India

Hubungi Kami:
Ken Research, Ankur Gupta,
Kepala Pemasaran &; Komunikasi
support@kenresearch.com
+91-9015378249

Unit 14, Tower B3, Spaze I Tech Business Park, Sohna Road, sector 49 Gurgaon, Haryana - 122001, India

Ken Research is a Market Research and Consulting Firm, based out of India, Indonesia and UAE. Since 2011, we have been assisting clients globally with our Syndicate and Bespoke Market Research and Advisory Services.

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