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The objectives of this subfund is mainly to invest in Turkish equities.

In the management of the subfund, the assets which are easy to convert to cash and that carry less risk are preferred. Therefore, at least 51% of the portfolio will be invested in shares of companies established in Turkey including State Economic Enterprises which are listed on Istanbul Stock Exchange. On the other hand, the total amount of fixed income securities issued by the Turkish Republic, Turkish Government Treasury, public local authorities or Turkish companies as well as in Eurobonds and global bonds may vary between 0% and 49% of the portfolio.

This subfund has a high return potential and carries the highest amount of risk. The Net Asset Value (NAV) of the subfund is calculated on Mondays and Wednesdays based on Euro.