Is Asset Management Renewable Energy Venture Capital Investment Fund
Why Invest in This Fund
The fund invest constantly %80 of their total value to the renewable energy investments and services company's stocks, sukuks, initial sukuk offerings, convertible bonds and investment committee accepted other assets with respect to Islamic Sharia rules.
Fund Overview
Establishment Date 31.10.2019
Transfer Date -
Fund Code IYG
Total Net Asset Value 120,849,911.90
Unit Price (TRL) 1.006663
Final Unit Price of the Fund -
Minimum Purchasing Quantity 1
Annual Management Fee 2.00 %
Fund Manager Selim Kocaoğlu

Asset Breakdown (%)
Returns from to 25.02.2020
Net Returns (%)
The benchmark is not exist for this fund.