COMPANY VISION
To be the premier investment management company in Indonesia by providing consistently superior returns relative to market benchmarks, and demonstrate the highest integrity and reliability in customer service.
COMPANY MISSION
Maximize value for stakeholders by offering the best investment products and solutions in the capital market. Become the investment manager of choice by clients Train and develop our employees to become professional in the capital market. Provide the best customer service Preserve and increase the market value and assets under management.
INVESTMENT METHODOLOGY
Once a set of expected returns has been determined with the client, an investment policy and asset allocation is formulated taking in account the client portfolio constraints and performance objectives. SAM pursues a specific approach in its asset allocation process to achieve the best possible return. This includes taking into account the following steps:
Top-down investment approach-using macroeconomic factors such as political, economic, and currency to provide an anchor for forecasting market performance and whether the current market may be over or under valued.
Industry analysis-examining relationships between economic forces, current market evaluation and performances
Specific company fundamental analysis-determining company valuation based on financial modeling techniques
Technical analysis-determining the best entry or exit point for investment, once the fundamental analysis is confirmed.



