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IJC

İş Asset Semiconductor Technologies Variable Fund

At least 80% of the Fund's total value is invested in shares of domestic/foreign semiconductor companies, companies operate in the field of semiconductor technologies, companies support the development of semiconductor technologies and/or their bonds, American Depositary Receipts (ADR) and/or Global Depository Receipts (GDR).

Fund total value (TRY)
1,352,650,798.11
Fund inception date
25.05.2021
Min. Purchase Order Size
1
Min. Sell Order Size
1
Fund's Annual Management Fee
2.00 %
Unit Price (TRY) 5/9/2024
6.427906
Transaction Effective Date
T+1 BUY T+3 Sell

Return Info (%)

Year to date
Fund's Net Return (%)

% 26.37

Threshold Value / Benchmark

% 29.76

%65 S&P Semiconductors Select Industry Net Total Return Index + %35 TL Based BIST Technology Weight Limited Return Index
Risk Level
7 / 7

Asset Allocation (%)

Foreign Securities %64.59
Equity %32.51
Collateral %1.83
Reverse Repo %0.9
Other %0.17

Fund charts

Return Comparison (%)

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Unit Price

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Graph footnote

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