Links:
  » Fund Profile
  » Return Performance
  » Stock Data
  » Comparative Charts
  » Historical Data
  » Message Board
  » News
 
  » Complete list of Funds


Search:
Message Boards

  

advertisement


advertisement
Indonesia Fund Inc

Sector:  Asia Equity     Symbol:  AMEX: IF
CUSIP:         S&P's Factual Stock Reports


Indonesia Fund, Inc. is a closed-ended equity mutual fund launched by Credit Suisse Asset Management, LLC. It is managed by Credit Suisse Asset Management Limited (Australia). The fund invests in the public equity markets of Indonesia. It makes its investments across diversified sectors. The fund primarily invests in equity securities issued by Indonesian companies across all market capitalizations. It employs a bottom-up stock selection process to create its portfolio, focusing on global and local political, economic, and industry trends. The fund benchmarks the performance of its portfolio against the Morgan Stanley Capital International Indonesia Index. It was formed on March 9, 1990 and is domiciled in the United States.

Latest News
Nov 09, 06:00 AM
 There's More To Emerging Markets Than Just BRICs (at Forbes.com)

Nov 02, 12:31 PM
 The Indonesia Fund, Inc. Announces Performance Data and Portfolio Composition
Reuters - 21 hours ago PHILADELPHIA, Nov. 2 /PRNewswire-FirstCall/ -- The Indonesia Fund, Inc. (the "Fund") (NYSE AMEX: IF), a closed-end equity fund, announced today its performance data and portfolio composition as of ...

Nov 02, 12:30 PM
 The Indonesia Fund, Inc. Announces Performance Data and Portfolio Composition (PR Newswire)

Oct 22, 11:58 AM
 Three Indonesia Investment Options (at Seeking Alpha)

Oct 09, 11:22 AM
 The Indonesia Fund, Inc. Announces Payment Of Dividend
PR Newswire - 5 hours ago PHILADELPHIA, Oct. 9 /PRNewswire-FirstCall/ -- The Board of Directors of The Indonesia Fund, Inc. (NYSE AMEX: IF) (the "Fund") is pleased to report the Fund's distribution of US$0.0075 per share ...

» View all news




  Key Stats
 Net Assets:     82.00  
 Market Cap:     75.60  
 Discount:     -7.77%  
 12 Month Average Dicount:     -11.11%  
 Total Dividend Yield:     +0.78%  
 Price TR 1Y:     +79.40  
 NAV TR 1Y:     +78.70  
   As of Tue Aug, 11 2009
    Source:  FundData.com


 Symbol:     AMEX: IF  
 Last:     10.08  
 Volume:     26453  
 Change:     +0.02 (0.19%)  
 Open:     10.09  
 Day High:     10.10  
 Day Low:     10.04  
   As of Fri Nov, 20 2009 16:00  


 

Indonesia Fund Inc
Eleven Madison Avenue
New York, NY, 10010
United States


ph.  212-325-2000
» Website

 




  ©  Copyright 1996-2009. Capital Link, Inc. All rights reserved.

Also visit:   capitallink.com  |  capitallinkshipping.com  |  capitallinkgreece.com   |  capitallinkcyprus.com  |  capitallinkforum.com


Disclaimer & Terms Of Use. The information herein is not an offer to buy or sell any kind of securities nor does it constitute investment advice of any kind. Capital Link does not represent or warrant the accuracy of the information in this site. The user of the site acknowledges that he/she accesses the information at his/her own risk and cannot hold Capital Link liable for any matter in any way. Please read full disclaimer and terms of use.