Abstract. The first objective of this study is to analyze what kind of sector industry which is selected by foreign investor
in Indonesia. Second, to analyze what kind of financial firm characteristic of stocks which is selected by foreign investor.
This study used a quantitative approach by using secondary data from financial reports and historical data from Indonesian
Stock Exchange. Researcher used multivariate regression to analyze the correlation between stocks selected by foreign
investor with financial firm characteristic. Based on the result, foreign investor are overweight stocks from Consumer
Goods Industry. Dividend yield, beta, and book to market are financial firm characteristic which is significantly influence
the stock selection by foreign investor.