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Worst Indonesian Credit Volatility in Years Imperils Debt Boom (opens original article in a new tab)

TL;DR

Indonesian credit volatility at four-year highs risks undermining record corporate debt issuance as policy shifts erode investor confidence.

  • Indonesian rupiah corporate bonds experienced highest volatility in four years
  • Volatility threatens record company debt issuance in Indonesia
  • Government policy changes have reduced international investor confidence in Indonesian assets

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