• Corporate Profile

    Garanti BBVA Asset Management

Garanti BBVA Asset Management

Garanti BBVA Asset Management is a 100% subsidiary of Garanti BBVA, the second largest private bank in Turkey.

Implementing an advanced corporate governance model that supports the Bank's indispensable values, Garanti BBVA's controlling shareholder is Banco Bilbao Vizcaya Argentaria S.A. (BBVA), which owns 49.85% of its shares.

Garanti BBVA Asset Management was established on 05.06.1997 as Turkey's first asset management company and operates in the fields of Mutual Funds Management, Pension Funds Management and Discretionary Portfolio Management.

Garanti BBVA Asset Management’s Purpose

Garanti BBVA Asset Management aims to be Turkey's highest sustainable portfolio management company by offering customized investment solutions to its customers with its experienced and professional staff.

You may find more information on Garanti BBVA Asset Management’s business areas here.

Pioneer and Leader

Turkey's first asset management company with 26 years of industry experience.

Strong Corporate Infrastructure

Continuous control of risk, effective internal control system and robust operational infrastructure.

Experienced Team

50 professionals with an investment team of 19.

Financial Strength

Subsidiary of Garanti BBVA 528 Million TL Shareholders’ Equity, 50 Million TL Paid in Capital.

Performance Oriented

Sustainable performance oriented professional management.

Central Investment Process

Systematic decision-making processes based on team performance strong research.

A Wide Universe of Mutual Funds

A wide universe of mutual funds with different asset classes and innovative investment themes.

Innovative Approach

An innovative approach that meets the ever-changing and evolving investor needs.