Risk Seviyesi
1
2
3
4
5
6
7
Low Risk
High Risk
Low Risk
High Risk
The investment objective of the Fund is to provide high returns to its investors in TL terms in the medium and long term. To achieve this goal, at least 51% of the fund portfolio will consist of partnership shares continuously traded on BIST. On the other hand, provided that it remains within the minimum and maximum limitations specified in Article 2.4, the remaining part of the fund portfolio is invested in domestic and foreign public and private sector bonds, TL and foreign currency indexed capital market instruments traded in domestic and foreign markets, precious metals and other capital market instruments listed in the article. can be deposited.
In order to reduce possible losses that investors may incur in case of adverse market conditions occurring or foreseen, and for hedging and/or investment purposes, short and long positions can be taken in derivative instruments based on partnership shares, interest, foreign currency, precious metals, index and capital market instruments in domestic and foreign countries. The risk value of the fund is determined as 5-7 band. To be in accordance with the fund investment strategy and 2.4. It will also be able to invest in foreign currency and capital market instruments, provided that it remains within the minimum and maximum limitations specified in the article.
Start Now!
Fund Distribution
Risk Level
1
2
3
4
5
6
7
Low Risk
High Risk
Low Risk
High Risk