İş Asset Fifth Hedge (FX) Fund - USD
Hesabınızın bulunduğu bankanın ya da aracı kurumun internet/cep şubesinden İş Portföy fonlarını almak için;
Yukarıda paylaşılan adımlar genel bilgilendirme amaçlıdır. Kurum bazında farklılık gösterebilir, bankanızın/aracı kurumunuzun müşteri iletişim merkezinden ilgili kuruma ait fon alım/satım adımları hakkında detaylı bilgi alabilirsiniz.
İş Asset Fifth Hedge (FX) Fund - USD
% 1.70
% 1.27
For funds established after the beginning of the year, the return and price since the date of establishment are shown.
In case the period selected in the return representation coincides with the period before the fund establishment date, the return is not calculated for the relevant fund.
If the period selected for price display is before the fund establishment date, prices after the fund establishment date are displayed.
Graph footnote
As of | IUV - USD | |
---|---|---|
4/30/2025 | 1.221521 | |
4/29/2025 | 1.220028 | |
4/28/2025 | 1.223038 | |
4/25/2025 | 1.221618 | |
4/24/2025 | 1.218503 | |
4/22/2025 | 1.219336 | |
4/21/2025 | 1.216993 | 1.219336 |
4/18/2025 | 1.216993 | |
4/17/2025 | 1.221339 | |
4/16/2025 | 1.217489 | |
4/15/2025 | 1.214229 | |
4/14/2025 | 1.207129 | |
4/11/2025 | 1.213833 | |
4/10/2025 | 1.204625 | |
4/9/2025 | 1.214570 | |
4/8/2025 | 1.210813 | |
4/7/2025 | 1.230237 | |
4/4/2025 | 1.235756 | |
4/3/2025 | 1.233351 | |
4/2/2025 | 1.232191 | 1.232191 |
İnternet sitemizde yer alan fon fiyatları referans fiyatlar olup, alım satım işlemlerinde esas alınan fiyatlardan farklılık gösterebilir. Fon Alım satım işlemlerine esas fon fiyatları, yatırımcı tarafından fon alım ya da satım talebinin yapıldığı saat, talebin yapıldığı günün yurtiçi veya yurtdışı piyasalarda tatil günü olup olmaması başta olmak üzere belirli durumlarda referans fiyattan farklılık gösterebilir. Alım satım işlemlerine konu olan fiyatlar Sermaye Piyasası Kurulu tebliğlerine uygun olarak ve fonların izahnamelerinde belirtilen çerçeve doğrultusuna bankalar, aracı kurumlar ve diğer fon dağıtım kuruluşlarının işlem platformlarına yansıtılmaktadır.
Fund | Hour for Last Order | Principles applicable for buying the fund | Principles applicable for selling the fund |
---|---|---|---|
İş Asset Fifth Hedge (FX) Fund - USD | 13:30 | The subscription orders given before 13:30 on the days when domestic and foreign markets are open are carried out on the next business day based on the share price to be found in the first calculation after the order is given. The subscription orders given after 13:30 or on the days when domestic and foreign markets are closed are carried out on the 2nd business day based on the share price to be found in the calculation to be made on the following business day. If any of the Borsa Istanbul, New York Stock Exchange (NYSE), and London Stock Exchange (LSE) is closed or money transfer is closed between the day on which the subscription order is given and the day on which the order is to be carried out, the realization date of the order is postponed by the number of the closed days. | The redemption orders given before 13:30 on the days when domestic and foreign markets are open are carried out on the 3rd business day based on the share price to be found in the first calculation after the order is given. The redemption orders given after 13:30 or on the days when domestic and foreign markets are closed are carried out on the 4th business day based on the share price to be found in the calculation to be made on the following business day. If any of the Borsa Istanbul, New York Stock Exchange (NYSE), and London Stock Exchange (LSE) is closed or money transfer is closed between the day on which the redemption order is given and the day on which the order is to be carried out, the realization date of the order is postponed by the number of the closed days. |