About Us · ABOUT US

Rooted in Indonesia, Connecting Global Industry and Capital

PT Nusantara Global Investama is an investment holding company based in Indonesia and oriented toward international markets, focused on long-term investment across five strategic industries: artificial intelligence, energy transition, biopharma, defense technology and advanced manufacturing.

Company Profile

“Nusantara” represents the Indonesian archipelago, the root of our identity; “Global” reflects our outlook. The company's core research focus is Asian technology and manufacturing, combining public-market investment with industrial synergy to capture long-term opportunities amid the restructuring of global supply chains.

We believe long-term returns require continuously refreshed industry understanding and genuine patience. Research, investment decisions and risk review each carry clearly defined responsibilities, with research driving judgment and discipline managing risk.

Leveraging our Southeast Asian location, we also actively help portfolio companies connect with industry resources across Indonesia and ASEAN, promoting a two-way flow of technology, capacity and market access.

Philosophy · PHILOSOPHY
  • Industry-grounded — we invest only in areas we truly understand
  • Long-termism — measuring in time, accompanying companies through cycles
  • Global perspective — rooted in Asia, connected to the world
  • Industrial synergy — creating value beyond capital
Value Creation · VALUE CREATION

More Than Capital

Market Access

Helping identify potential customers, partners and go-to-market paths across Indonesia and ASEAN.

Industrial Collaboration

Connecting technology, manufacturing and channel resources within and beyond the portfolio to drive verifiable business synergy.

Long-Term Monitoring

Continuously tracking operating metrics, competitive dynamics and key risks, and periodically reviewing the original investment thesis.

Process · PROCESS

A Rigorous, Closed-Loop Investment System

01
Industry Research

Mapping the value chain top-down to identify structural momentum and opportunities.

02
Screening

Evaluating technological barriers, competitive landscape, management and valuation across multiple dimensions.

03
Investment Decision

Reviewed collectively by the investment committee, with independent risk oversight throughout.

04
Post-Investment Management

Continuously tracking operations and valuation, and connecting portfolio companies to industry resources and markets.

05
Dynamic Rebalancing

Periodically rebalancing the portfolio based on research conclusions and risk budgets.

Governance · GOVERNANCE

Earning Trust Through Governance

Investment Committee

Responsible for major investment decisions, operating under collective review and recusal policies.

Risk Management

Independent of the investment team; sets limits on concentration, liquidity and drawdowns.

Compliance Review

Incorporates applicable regulations, trading restrictions and conflicts of interest into pre-investment and holding-period reviews.

Information Disclosure

Maintaining transparent, timely and accurate communication with partners and investors.