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IDF

İş Asset Hedge (Foreign Exchange) Fund

Fund total value (TRY)
1,895,830,991.65
Fund inception date
19.09.2018
Min. Purchase Order Size
1
Min. Sell Order Size
1
Fund's Annual Management Fee
1.00 %
Unit Price (TRY) 5/9/2024
43.338507
Transaction Effective Date
T+1 BUY T+3 Sell

Return Info (%)

Year to date
Fund's Net Return (%)

% 11.83

Threshold Value / Benchmark

% 12.45

Fund's threshold value is 90% BIST-KYD Corporate Eurobond USD + 10 BIST-KYD Government Eurobond USD index
Risk Level
7 / 7

Asset Allocation (%)

Corporate Eurobonds %59.19
Eurobonds %37.37
Foreign Currency Government Sukuk %2.27
Collateral %1.17

Fund charts

Return Comparison (%)

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.

Unit Price

If the period selected for price display is before the fund establishment date, prices after the fund establishment date are displayed.

Graph footnote

Devamı

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