Andi Suryadi

Macroeconomist, Investment Analyst, and Research Analyst in Jakarta, Indonesia

Andi Suryadi specializes in macroeconomics, inequality, monetary economics, SMEs, development economics, and political economy. He pairs applied macro with capital-market decision analytics, including asset allocation, risk/return modeling, event studies, and policy-to-market transmission, alongside advanced econometrics (VAR/VECM, GARCH/TGARCH/EGARCH, logistic regression, panel methods, Difference-in-Differences, multilevel models, SEM) and data visualization in RStudio. He provides actionable insights for academic, policy, market, and public audiences.

  • Education
    • Universitas Sanata Dharma