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IRP-İş Asset Management Agro Venture Capıtal Investment Fund

IRP-İş Asset Management Agro Venture Capıtal Investment Fund

İş Asset Management Agro Venture Capital Investment Fund was established to invest in the agriculture, livestock and food sectors. All investments will be realized in accordance with the principles of interest-free finance. At least 80% of the total value of the fund must consist of venture capital investments. The duration of the fund is 7 years.

Fund total value (TRY)
254,990,773.79
Fund inception date
17.10.2023
Fund's Annual Management Fee
2.00 %
Unit Price (TRY)
1,221.372268

About Fund

The Fund's main investment strategy is to invest in the agriculture, livestock and food sectors. Across these main sectors, the Fund plans to invest in companies operating in the areas of optimum use of resources, efficient use and distribution of products, as well as in manufacturing, retail, logistics, healthcare, IT, transportation and technology companies serving these sectors. In addition to these, the Fund may also invest in venture companies operating in other sectors if potential is seen. The Fund aims to make direct or indirect capital transfers to joint stock and limited liability companies, whether publicly traded or not, which have the potential to grow and generate added value, or to become a partner through share transfer or to become a founder of venture companies.

Principles for buying: After the initial demand collection period, qualified investors may participate in the Fund by placing a subscription order or making a resource commitment, until December 15, 2026. Subscription orders will be executed at the share price calculated in the first price report following the issuance of the order and which is the basis for transaction execution. After December 15, 2026, no share purchase or resource commitment instructions will be accepted.

After the initial demand collection period, on the price calculation days specified below subscription orders submitted until 17:00 will be executed at the share price to be found in the first calculation following the issuance of the order.

For 2024: March 15, June 15, September 15, December 15

For 2025: June 15, December 15

For 2026: June 15, December 15

Principles for selling: The fund shares may be returned to the fund only at the end of the fund's duration, except in cases of liquidation, early distribution and changes in the investor information documents that may affect the investment decision.

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