• GJH

    Money Market Hedge (TL) Fund

Fund Information

Garanti Asset Management Money Market Hedge (TL) Fund is designed for Garanti BBVA Qualified Investors who would like to evaluate their savings with low-risk and short-term investment instruments on same day value opportunity.

In line with its investment projections, the Fund mainly aims to provide capital gains by investing in short-term public and/or private sector debt instruments, lease certificates, deposits and money market instruments. While determining the distribution of Fund portfolio, one or more asset classes can be given weight in accordance with the hedge fund structure and asset distribution can be changed flexibly according to the market conditions.

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.

Money Market Hedge (TL) Fund is suitable for only Garanti BBVA Qualified Investors.

Fund Code

GJH

Fund Risk Level

1 2 3 4 5 6 7
Low Risk Very Risky

Fund Price TL

-

Fund Size

-​

Launch Date

-

Fund Management Fee (Annual)

-

Transaction Start Time

09:00

Transaction End Time

16:00

Asset Distribution

Buy - Sell Trading Hours and Value Date

  • Buying/selling orders given by investors between 09:00-16:00 (09:00-11:15 on half days) on the days when the BIST Debt Securities Market is open are based on the price which is calculated on the previous work day and valid for that day.

Benchmark

The Fund threshold value is 100% 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

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