Fund Information
The Fund mainly invests in domestic equities traded on Borsa Istanbul. The Fund portfolio consists of company equities that have a growth potential above the market averages in the medium-long term.
Focusing on equity selection, The Fund aims to deliver a performance above the BIST 100 Index in the medium-long term.
Only TL assets and transactions will be included in the fund portfolio. Foreign currency assets, gold and other precious metals and capital market instruments based on them will not be included in the fund portfolio. In addition, foreign currency assets, gold and other precious metals and organized and over-the-counter derivative instruments for capital market instruments based on them will not be included in the fund portfolio.
Fund Code
Fund Risk Level
Fund Price TL
-
Fund Size
-
Launch Date
-
Fund Management Fee (Annual)
-
Transaction Start Time
09:00
Transaction End Time
13:30
Buy - Sell Trading Hours and Value Date
Benchmark
90% BIST 100 Index + 10% BIST KYD Repo (Gross) Index
TL Performance Table (%)
Term
Return (%)
1 Month
%0
3 Month
%0
6 Month
%0
Year To Date
%0
1 Year
%0
3 Year
%0
Public Offering
%0
TL Price and Performance Chart
The Fund return figures belong to the past term. Past term Fund returns are not an indication of future returns.
Price
-
Change
-
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