TR EN

0 850 290 31 73

Returns and Prices

Detaylı Filtreleme

Start date
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Tümünü Gör (12) Daha Az Göster
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Commodity and Precious Metals Funds

0

Technology Thematic Funds

0

Sustainability Funds

0

Market Aligned Funds

0

Funds Investing in Foreign Currency Denominated Instruments

0

International Funds

0

Funds Investing in Domestic And Foreign Markets

0

Non-interest Loan Securities Funds

0

Domestic Equity Funds

0

Domestic Money Market and Debt Instruments Funds

0

Hedge Funds

0

Hedge (FX) Funds

0

Closed-end Hedge (FX) Funds

0

Hedge Funds

0

Participation Funds

0

Precious Metals Funds

0

Equity Funds

0

Debt Funds

0

Variable Funds

0

Mixed Funds

0

Fund of Funds

0

Money Market Funds

0

Hedge (FX) Funds

0

Risk Level

Currency

0
Fund Code Fund Name Currency
Unit Price
Risk Level
Daily Return
Monthly Return
3-month return
Year to date

Commodity and Precious Metals Funds (4)

IOG
TRY 8.072068 7 % 0.5445 % 10.98 % 20.70 % 66.94
TGE
TRY 0.187033 6 % 0.2165 % 4.45 % 8.37 % 25.04
TTA
TRY 0.492276 6 -% 0.2553 % 11.63 % 15.37 % 56.52
IJT
TRY 5.427175 6 -% 0.5250 -% 0.56 % 1.97 % 5.16

Technology Thematic Funds (8)

IJB
TRY 5.999194 6 % 0.1874 % 3.56 % 16.52 % 50.40
IJP
TRY 6.403473 6 % 0.1032 % 4.80 % 14.94 % 37.90
ITP
TRY 8.927780 6 -% 0.0141 % 2.81 % 14.54 % 33.24
IJC
TRY 8.985965 7 -% 0.0762 % 8.22 % 27.43 % 26.80
IPJ
TRY 12.919083 6 -% 0.2208 % 0.30 % 15.38 % 26.55
IJZ
TRY 9.453824 6 -% 0.9361 % 4.56 % 14.51 % 27.86
BIO
TRY 1.916184 6 -% 1.7562 -% 7.13 % 4.89 % 3.76
TTE
TRY 0.992322 7 -% 1.9249 -% 2.15 % 8.52 % 26.45

Sustainability Funds (7)

IKP
TRY 6.080938 6 % 0.5156 % 3.63 % 17.19 % 46.80
EDU
TRY 2.579034 4 % 0.1263 % 2.81 % 11.08 % 17.04
IPJ
TRY 12.919083 6 -% 0.2208 % 0.30 % 15.38 % 26.55
TMZ
TRY 1.482280 5 -% 0.2817 % 1.92 % 8.12 % 19.96
TMC
TRY 0.126526 4 -% 0.3465 -% 0.89 % 6.59 % 13.18
IHK
TRY 13.421520 6 -% 1.6290 -% 8.22 % 3.42 % 1.23
BIO
TRY 1.916184 6 -% 1.7562 -% 7.13 % 4.89 % 3.76

Market Aligned Funds (10)

ILZ
TRY 6.079554 2 % 0.1959 % 3.39 % 11.78 % 30.09
KKH
TRY 5.046953 4 % 0.1720 % 2.38 % 10.75 % 22.50
IBB
TRY 11.483161 5 % 0.1366 % 1.60 % 13.37 % 12.84
EDU
TRY 2.579034 4 % 0.1263 % 2.81 % 11.08 % 17.04
FBV
TRY 5.695602 6 % 0.1036 % 6.09 % 20.77 % 34.60
TI4
TRY 0.047630 2 % 0.0967 % 2.61 % 14.19 % 34.56
TBP
TRY 0.214493 4 % 0.0149 % 1.89 % 14.40 % 20.95
IPG
TRY 7.366628 5 % 0.0048 % 1.83 % 13.20 % 24.53
TI7
TRY 60.159669 4 -% 0.1406 % 1.85 % 12.49 % 17.75
IAM
TRY 1.290531 5 -% 0.3397 -% 0.03 % 8.56 % 20.94

Funds Investing in Foreign Currency Denominated Instruments (3)

TMG
TRY 1.020236 6 % 0.4950 % 3.74 % 15.44 % 31.61
IPV
TRY 63.881629 6 % 0.1058 % 2.14 % 8.60 % 21.71
TDG
TRY 0.449222 6 % 0.0408 % 1.84 % 6.61 % 20.16

International Funds (2)

TMG
TRY 1.020236 6 % 0.4950 % 3.74 % 15.44 % 31.61
TDG
TRY 0.449222 6 % 0.0408 % 1.84 % 6.61 % 20.16

Funds Investing in Domestic And Foreign Markets (10)

IKP
TRY 6.080938 6 % 0.5156 % 3.63 % 17.19 % 46.80
IJB
TRY 5.999194 6 % 0.1874 % 3.56 % 16.52 % 50.40
IKL
TRY 7.376462 6 % 0.1642 % 5.22 % 6.16 % 18.35
IJP
TRY 6.403473 6 % 0.1032 % 4.80 % 14.94 % 37.90
ITP
TRY 8.927780 6 -% 0.0141 % 2.81 % 14.54 % 33.24
IEV
TRY 3.989928 6 -% 0.0584 % 2.79 % 7.87 % 20.64
IJC
TRY 8.985965 7 -% 0.0762 % 8.22 % 27.43 % 26.80
IPJ
TRY 12.919083 6 -% 0.2208 % 0.30 % 15.38 % 26.55
TKK
TRY 1.260954 7 -% 0.9314 -% 2.69 % 7.75 % 9.27
IJZ
TRY 9.453824 6 -% 0.9361 % 4.56 % 14.51 % 27.86

Non-interest Loan Securities Funds (2)

KPI
TRY 1.035726 2 % 0.1084 % 3.46 - % 3.46
IAT
TRY 0.142722 1 % 0.0989 % 3.21 % 10.65 % 29.82

Domestic Equity Funds (11)

KPH
TRY 1.014898 6 -% 0.8057 -% 6.16 % 0.20 % 0.24
TI3
TRY 0.103891 7 -% 1.2067 -% 5.39 % 11.53 -% 2.67
TI2
TRY 0.101785 6 -% 1.3950 -% 7.27 % 3.97 % 2.65
TIE
TRY 0.522588 6 -% 1.6283 -% 6.15 % 6.55 % 8.09
IHK
TRY 13.421520 6 -% 1.6290 -% 8.22 % 3.42 % 1.23
IDH
TRY 9.813397 7 -% 1.6542 -% 4.19 % 6.66 % 4.61
BIO
TRY 1.916184 6 -% 1.7562 -% 7.13 % 4.89 % 3.76
IML
TRY 1.259095 6 -% 1.8060 -% 4.81 % 11.77 % 17.22
IHT
TRY 3.012223 6 -% 1.9091 -% 6.60 % 4.80 -% 1.00
TTE
TRY 0.992322 7 -% 1.9249 -% 2.15 % 8.52 % 26.45
TAU
TRY 0.573690 7 -% 2.8504 -% 8.11 % 8.87 % 4.82

Domestic Money Market and Debt Instruments Funds (9)

TI6
TRY 0.041531 4 % 0.4936 % 0.70 % 7.19 % 19.49
IOP
TRY 4.390175 2 % 0.1203 % 3.63 % 11.80 % 36.10
TSI
TRY 0.147254 1 % 0.1163 % 3.39 % 11.23 % 32.74
TBV
TRY 0.287521 1 % 0.1160 % 3.53 % 11.02 % 34.43
IOO
TRY 3.218612 2 % 0.1143 % 3.53 % 11.60 % 35.61
IUZ
TRY 3.321087 1 % 0.1140 % 3.52 % 11.59 % 35.44
TI1
TRY 1,167.101834 2 % 0.1135 % 3.54 % 11.56 % 35.17
TIV
TRY 37.857725 1 % 0.1088 % 3.35 % 10.92 % 30.97
IBK
TRY 0.095201 2 % 0.0999 % 3.45 % 10.57 % 34.74

Hedge Funds (8)

IOG
TRY 8.072068 7 % 0.5445 % 10.98 % 20.70 % 66.94
MGB
TRY 1.199733 2 % 0.2694 % 1.79 % 9.87 % 19.97
UNT
TRY 1.092407 2 % 0.1141 % 3.50 - % 9.24
ILH
TRY 2.786447 2 % 0.1128 % 3.59 % 11.62 % 36.23
FBV
TRY 5.695602 6 % 0.1036 % 6.09 % 20.77 % 34.60
IYR
TRY 0.107178 5 % 0.0887 % 3.00 % 15.35 -% 7.72
IJT
TRY 5.427175 6 -% 0.5250 -% 0.56 % 1.97 % 5.16
BHL
TRY 0.921060 6 -% 0.6015 -% 0.78 % 13.20 % 1.93

Hedge (FX) Funds (17)

IOH
USD 1.056721 4 % 0.2304 % 0.79 % 3.29 % 5.67
IUF
EUR 1.175938 3 % 0.1728 % 0.77 % 2.37 % 6.09
IZL
USD 1.058611 4 % 0.1651 % 0.85 % 2.25 % 4.24
IUV
USD 1.324384 5 % 0.1530 % 1.24 % 5.87 % 10.36
CKS
USD 1.214755 4 % 0.1221 % 1.31 % 2.71 % 5.31
YBR
USD 1.081454 4 % 0.0852 % 1.81 % 5.80 % 8.15
KKP
USD 1.038981 4 % 0.0595 % 0.94 % 2.79 % 1.54
IDF
USD 1.529936 5 % 0.0585 % 0.83 % 2.40 % 7.16
ILC
USD 1.034638 3 % 0.0322 % 0.69 % 1.90 % 3.46
IOJ
USD 1.050077 4 % 0.0274 % 0.63 % 1.80 % 3.89
INR
USD 1.034230 3 % 0.0261 % 0.53 % 1.76 % 3.42
ONS
USD 1.094250 3 % 0.0165 % 0.35 % 1.02 % 2.58
IUU
USD 1.213232 4 % 0.0096 % 0.22 % 0.85 % 2.81
IZY
USD 1.101957 4 % 0.0069 % 0.19 % 0.91 % 2.84
YPN
GBP 1.019176 1 % 0.0056 % 0.29 % 0.69 % 1.92
IDO
EUR 1.027958 2 % 0.0054 % 0.19 % 0.57 % 1.54
IRE
USD 1.007713 3 % 0.0025 % 0.28 -% 0.52 -% 1.27

Closed-end Hedge (FX) Funds (10)

IOH
USD 1.056721 4 % 0.2304 % 0.79 % 3.29 % 5.67
IZL
USD 1.058611 4 % 0.1651 % 0.85 % 2.25 % 4.24
KKP
USD 1.038981 4 % 0.0595 % 0.94 % 2.79 % 1.54
ITV
USD 1.065402 4 % 0.0396 % 0.33 % 1.10 % 3.09
ILC
USD 1.034638 3 % 0.0322 % 0.69 % 1.90 % 3.46
IOJ
USD 1.050077 4 % 0.0274 % 0.63 % 1.80 % 3.89
INR
USD 1.034230 3 % 0.0261 % 0.53 % 1.76 % 3.42
IUU
USD 1.213232 4 % 0.0096 % 0.22 % 0.85 % 2.81
IZY
USD 1.101957 4 % 0.0069 % 0.19 % 0.91 % 2.84
IRE
USD 1.007713 3 % 0.0025 % 0.28 -% 0.52 -% 1.27

Commodity and Precious Metals Funds (4)

IOG
İş Asset Management Silver Hedge Fund
Daily Return % 0.5445
Monthly Return % 10.98
Year to date % 66.94
Risk Level 7
TGE
İş Asset Foreign Commodity ETF Fund Of Funds
Daily Return % 0.2165
Monthly Return % 4.45
Year to date % 25.04
Risk Level 6
TTA
İş Asset Gold Fund
Daily Return -% 0.2553
Monthly Return % 11.63
Year to date % 56.52
Risk Level 6
IJT
İş Asset Agriculture Hedge Fund
Daily Return -% 0.5250
Monthly Return -% 0.56
Year to date % 5.16
Risk Level 6

Technology Thematic Funds (8)

IJB
İş Asset Digital Game Sector Mixed Fund
Daily Return % 0.1874
Monthly Return % 3.56
Year to date % 50.40
Risk Level 6
IJP
İş Asset Blockchain Technologies Mixed Fund
Daily Return % 0.1032
Monthly Return % 4.80
Year to date % 37.90
Risk Level 6
ITP
İş Asset Technology Mixed Fund
Daily Return -% 0.0141
Monthly Return % 2.81
Year to date % 33.24
Risk Level 6
IJC
İş Asset Semiconductor Technologies Variable Fund
Daily Return -% 0.0762
Monthly Return % 8.22
Year to date % 26.80
Risk Level 7
IPJ
İş Asset Electric Vehicles Mixed Fund
Daily Return -% 0.2208
Monthly Return % 0.30
Year to date % 26.55
Risk Level 6
IJZ
İş Asset Cyber Security Technologies Variable Fund
Daily Return -% 0.9361
Monthly Return % 4.56
Year to date % 27.86
Risk Level 6
BIO
İş Asset Sustainability Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.7562
Monthly Return -% 7.13
Year to date % 3.76
Risk Level 6
TTE
İş Asset BIST Technology Capped Index Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.9249
Monthly Return -% 2.15
Year to date % 26.45
Risk Level 7

Sustainability Funds (7)

IKP
İş Asset Renewable Energy Mixed Fund
Daily Return % 0.5156
Monthly Return % 3.63
Year to date % 46.80
Risk Level 6
EDU
İş Asset TEV Education Support Variable Fund
Daily Return % 0.1263
Monthly Return % 2.81
Year to date % 17.04
Risk Level 4
IPJ
İş Asset Electric Vehicles Mixed Fund
Daily Return -% 0.2208
Monthly Return % 0.30
Year to date % 26.55
Risk Level 6
TMZ
İş Asset Sustainability And Agriculture Fund Of Funds
Daily Return -% 0.2817
Monthly Return % 1.92
Year to date % 19.96
Risk Level 5
TMC
İş Asset Tema Variable Fund
Daily Return -% 0.3465
Monthly Return -% 0.89
Year to date % 13.18
Risk Level 4
IHK
İş Asset Women in Workforce Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.6290
Monthly Return -% 8.22
Year to date % 1.23
Risk Level 6
BIO
İş Asset Sustainability Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.7562
Monthly Return -% 7.13
Year to date % 3.76
Risk Level 6

Market Aligned Funds (10)

ILZ
İş Asset Cautious Fund Of Funds
Daily Return % 0.1959
Monthly Return % 3.39
Year to date % 30.09
Risk Level 2
KKH
İş Asset Balanced Fund Of Funds
Daily Return % 0.1720
Monthly Return % 2.38
Year to date % 22.50
Risk Level 4
IBB
İş Asset Attack Variable Fund
Daily Return % 0.1366
Monthly Return % 1.60
Year to date % 12.84
Risk Level 5
EDU
İş Asset TEV Education Support Variable Fund
Daily Return % 0.1263
Monthly Return % 2.81
Year to date % 17.04
Risk Level 4
FBV
İş Asset Model Hedge Fund
Daily Return % 0.1036
Monthly Return % 6.09
Year to date % 34.60
Risk Level 6
TI4
İş Asset Robofon Cautious Variable Fund
Daily Return % 0.0967
Monthly Return % 2.61
Year to date % 34.56
Risk Level 2
TBP
İş Asset Privia Banking Private Fund Of Funds
Daily Return % 0.0149
Monthly Return % 1.89
Year to date % 20.95
Risk Level 4
IPG
İş Asset Attack Basket Fund Of Funds
Daily Return % 0.0048
Monthly Return % 1.83
Year to date % 24.53
Risk Level 5
TI7
İş Asset Robofon Balanced Variable Fund
Daily Return -% 0.1406
Monthly Return % 1.85
Year to date % 17.75
Risk Level 4
IAM
İş Asset Management Aggressive Fund Of Funds
Daily Return -% 0.3397
Monthly Return -% 0.03
Year to date % 20.94
Risk Level 5

Funds Investing in Foreign Currency Denominated Instruments (3)

TMG
İş Asset Foreign Equity Fund
Daily Return % 0.4950
Monthly Return % 3.74
Year to date % 31.61
Risk Level 6
IPV
İş Asset Eurobonds Debt Instruments (FX) Fund
Daily Return % 0.1058
Monthly Return % 2.14
Year to date % 21.71
Risk Level 6
TDG
İş Asset Foreign Debt Instruments Fund
Daily Return % 0.0408
Monthly Return % 1.84
Year to date % 20.16
Risk Level 6

International Funds (2)

TMG
İş Asset Foreign Equity Fund
Daily Return % 0.4950
Monthly Return % 3.74
Year to date % 31.61
Risk Level 6
TDG
İş Asset Foreign Debt Instruments Fund
Daily Return % 0.0408
Monthly Return % 1.84
Year to date % 20.16
Risk Level 6

Funds Investing in Domestic And Foreign Markets (10)

IKP
İş Asset Renewable Energy Mixed Fund
Daily Return % 0.5156
Monthly Return % 3.63
Year to date % 46.80
Risk Level 6
IJB
İş Asset Digital Game Sector Mixed Fund
Daily Return % 0.1874
Monthly Return % 3.56
Year to date % 50.40
Risk Level 6
IKL
İş Asset Healthcare Companies Mixed Fund
Daily Return % 0.1642
Monthly Return % 5.22
Year to date % 18.35
Risk Level 6
IJP
İş Asset Blockchain Technologies Mixed Fund
Daily Return % 0.1032
Monthly Return % 4.80
Year to date % 37.90
Risk Level 6
ITP
İş Asset Technology Mixed Fund
Daily Return -% 0.0141
Monthly Return % 2.81
Year to date % 33.24
Risk Level 6
IEV
İş Asset Transportation Variable Fund
Daily Return -% 0.0584
Monthly Return % 2.79
Year to date % 20.64
Risk Level 6
IJC
İş Asset Semiconductor Technologies Variable Fund
Daily Return -% 0.0762
Monthly Return % 8.22
Year to date % 26.80
Risk Level 7
IPJ
İş Asset Electric Vehicles Mixed Fund
Daily Return -% 0.2208
Monthly Return % 0.30
Year to date % 26.55
Risk Level 6
TKK
İş Asset Moneybox Account Mixed Special Fund
Daily Return -% 0.9314
Monthly Return -% 2.69
Year to date % 9.27
Risk Level 7
IJZ
İş Asset Cyber Security Technologies Variable Fund
Daily Return -% 0.9361
Monthly Return % 4.56
Year to date % 27.86
Risk Level 6

Non-interest Loan Securities Funds (2)

KPI
İş Asset Money Market Participation (TL) Fund
Daily Return % 0.1084
Monthly Return % 3.46
Year to date % 3.46
Risk Level 2
IAT
İş Asset Lease Certificates Of Participation (TL) Fund
Daily Return % 0.0989
Monthly Return % 3.21
Year to date % 29.82
Risk Level 1

Domestic Equity Funds (11)

KPH
İş Portföy Dividend Paying Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 0.8057
Monthly Return -% 6.16
Year to date % 0.24
Risk Level 6
TI3
İş Asset İş Bank Subsidiaries Index Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.2067
Monthly Return -% 5.39
Year to date -% 2.67
Risk Level 7
TI2
İş Asset Equity (TL) Fund (Intensive Equity Fund)
Daily Return -% 1.3950
Monthly Return -% 7.27
Year to date % 2.65
Risk Level 6
TIE
İş Asset BIST 30 Index Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.6283
Monthly Return -% 6.15
Year to date % 8.09
Risk Level 6
IHK
İş Asset Women in Workforce Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.6290
Monthly Return -% 8.22
Year to date % 1.23
Risk Level 6
IDH
İş Asset Non-BIST 100 Companies Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.6542
Monthly Return -% 4.19
Year to date % 4.61
Risk Level 7
BIO
İş Asset Sustainability Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.7562
Monthly Return -% 7.13
Year to date % 3.76
Risk Level 6
IML
İş Asset Model Portfolio Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.8060
Monthly Return -% 4.81
Year to date % 17.22
Risk Level 6
IHT
İş Asset Exporting Companies Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.9091
Monthly Return -% 6.60
Year to date -% 1.00
Risk Level 6
TTE
İş Asset BIST Technology Capped Index Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 1.9249
Monthly Return -% 2.15
Year to date % 26.45
Risk Level 7
TAU
İş Asset BIST Bank Index Equity (TL) Fund (Equity Intensive Fund)
Daily Return -% 2.8504
Monthly Return -% 8.11
Year to date % 4.82
Risk Level 7

Domestic Money Market and Debt Instruments Funds (9)

TI6
İş Asset Medium-Term Debt Instrument (TL) Fund
Daily Return % 0.4936
Monthly Return % 0.70
Year to date % 19.49
Risk Level 4
IOP
İş Asset Odeabank Money Market (TL) Fund
Daily Return % 0.1203
Monthly Return % 3.63
Year to date % 36.10
Risk Level 2
TSI
İş Asset Maximum Account Short-Term Debt Instruments (TL) Fund
Daily Return % 0.1163
Monthly Return % 3.39
Year to date % 32.74
Risk Level 1
TBV
İş Asset Private Sector Debt Instrument (TL) Fund
Daily Return % 0.1160
Monthly Return % 3.53
Year to date % 34.43
Risk Level 1
IOO
İş Asset Second Money Market (TL) Fund
Daily Return % 0.1143
Monthly Return % 3.53
Year to date % 35.61
Risk Level 2
IUZ
İş Asset Anadolubank Money Market (TL) Fund
Daily Return % 0.1140
Monthly Return % 3.52
Year to date % 35.44
Risk Level 1
TI1
İş Asset Money Market (TL) Fund
Daily Return % 0.1135
Monthly Return % 3.54
Year to date % 35.17
Risk Level 2
TIV
İş Asset Short-Term Debt Instruments (TL) Fund
Daily Return % 0.1088
Monthly Return % 3.35
Year to date % 30.97
Risk Level 1
IBK
İş Asset Maximum Card Short-Term Debt Instruments (TL) Fund
Daily Return % 0.0999
Monthly Return % 3.45
Year to date % 34.74
Risk Level 2

Hedge Funds (8)

IOG
İş Asset Management Silver Hedge Fund
Daily Return % 0.5445
Monthly Return % 10.98
Year to date % 66.94
Risk Level 7
MGB
İş Asset Equity (TL) Hedge Fund With An Absolute Return Target (Equity Intense Fund)
Daily Return % 0.2694
Monthly Return % 1.79
Year to date % 19.97
Risk Level 2
UNT
İş Asset Third Hedge (TL) Fund
Daily Return % 0.1141
Monthly Return % 3.50
Year to date % 9.24
Risk Level 2
ILH
İş Asset First Money Market Hedge (TL) Fund
Daily Return % 0.1128
Monthly Return % 3.59
Year to date % 36.23
Risk Level 2
FBV
İş Asset Model Hedge Fund
Daily Return % 0.1036
Monthly Return % 6.09
Year to date % 34.60
Risk Level 6
IYR
İş Asset Hedef Management Hedge Fund
Daily Return % 0.0887
Monthly Return % 3.00
Year to date -% 7.72
Risk Level 5
IJT
İş Asset Agriculture Hedge Fund
Daily Return -% 0.5250
Monthly Return -% 0.56
Year to date % 5.16
Risk Level 6
BHL
İş Asset First Equity (TL) Hedge Fund (Intensive Equity Fund)
Daily Return -% 0.6015
Monthly Return -% 0.78
Year to date % 1.93
Risk Level 6

Hedge (FX) Funds (17)

IOH
İş Asset Eighteenth Hedge (FX) Fund
Daily Return % 0.2304
Monthly Return % 0.79
Year to date % 5.67
Risk Level 4
IUF
İş Asset Seventh Hedge (FX-Euro) Fund
Daily Return % 0.1728
Monthly Return % 0.77
Year to date % 6.09
Risk Level 3
IZL
İş Asset Management September 2027 Hedge (Fx) Fund
Daily Return % 0.1651
Monthly Return % 0.85
Year to date % 4.24
Risk Level 4
IUV
İş Asset Fifth Hedge (FX) Fund
Daily Return % 0.1530
Monthly Return % 1.24
Year to date % 10.36
Risk Level 5
CKS
İş Asset First Participation Hedge (FX) Fund
Daily Return % 0.1221
Monthly Return % 1.31
Year to date % 5.31
Risk Level 4
YBR
İş Asset Twentyfirst Hedge (FX) Fund
Daily Return % 0.0852
Monthly Return % 1.81
Year to date % 8.15
Risk Level 4
KKP
İş Asset 2028 Capital Dividend Paying Hedge (Fx) Fund
Daily Return % 0.0595
Monthly Return % 0.94
Year to date % 1.54
Risk Level 4
IDF
İş Asset Hedge (Foreign Exchange) Fund
Daily Return % 0.0585
Monthly Return % 0.83
Year to date % 7.16
Risk Level 5
ILC
İş Asset Thirteenth Hedge (FX) Fund
Daily Return % 0.0322
Monthly Return % 0.69
Year to date % 3.46
Risk Level 3
IOJ
İş Asset Management October 2026 Hedge (Fx) Fund
Daily Return % 0.0274
Monthly Return % 0.63
Year to date % 3.89
Risk Level 4
INR
İş Asset Eleventh Hedge (FX) Fund
Daily Return % 0.0261
Monthly Return % 0.53
Year to date % 3.42
Risk Level 3
ONS
İş Asset Twelfth Hedge (FX) Fund
Daily Return % 0.0165
Monthly Return % 0.35
Year to date % 2.58
Risk Level 3
IUU
İş Asset Third Hedge (FX) Fund
Daily Return % 0.0096
Monthly Return % 0.22
Year to date % 2.81
Risk Level 4
IZY
İş Asset Seventeenth Hedge (FX) Fund
Daily Return % 0.0069
Monthly Return % 0.19
Year to date % 2.84
Risk Level 4
YPN
İş Asset Twentieth Hedge (Fx-Pound) Fund
Daily Return % 0.0056
Monthly Return % 0.29
Year to date % 1.92
Risk Level 1
IDO
İş Asset Nineteenth Hedge (FX-Euro) Fon
Daily Return % 0.0054
Monthly Return % 0.19
Year to date % 1.54
Risk Level 2
IRE
İş Asset Dividend Paying Hedge (FX) Fund
Daily Return % 0.0025
Monthly Return % 0.28
Year to date -% 1.27
Risk Level 3

Closed-end Hedge (FX) Funds (10)

IOH
İş Asset Eighteenth Hedge (FX) Fund
Daily Return % 0.2304
Monthly Return % 0.79
Year to date % 5.67
Risk Level 4
IZL
İş Asset Management September 2027 Hedge (Fx) Fund
Daily Return % 0.1651
Monthly Return % 0.85
Year to date % 4.24
Risk Level 4
KKP
İş Asset 2028 Capital Dividend Paying Hedge (Fx) Fund
Daily Return % 0.0595
Monthly Return % 0.94
Year to date % 1.54
Risk Level 4
ITV
İş Asset Sixth Hedge (FX) Fund
Daily Return % 0.0396
Monthly Return % 0.33
Year to date % 3.09
Risk Level 4
ILC
İş Asset Thirteenth Hedge (FX) Fund
Daily Return % 0.0322
Monthly Return % 0.69
Year to date % 3.46
Risk Level 3
IOJ
İş Asset Management October 2026 Hedge (Fx) Fund
Daily Return % 0.0274
Monthly Return % 0.63
Year to date % 3.89
Risk Level 4
INR
İş Asset Eleventh Hedge (FX) Fund
Daily Return % 0.0261
Monthly Return % 0.53
Year to date % 3.42
Risk Level 3
IUU
İş Asset Third Hedge (FX) Fund
Daily Return % 0.0096
Monthly Return % 0.22
Year to date % 2.81
Risk Level 4
IZY
İş Asset Seventeenth Hedge (FX) Fund
Daily Return % 0.0069
Monthly Return % 0.19
Year to date % 2.84
Risk Level 4
IRE
İş Asset Dividend Paying Hedge (FX) Fund
Daily Return % 0.0025
Monthly Return % 0.28
Year to date -% 1.27
Risk Level 3

For funds established after the beginning of the year, the return and price since the date of establishment are shown.

The fund prices on our website are reference prices and may differ from the prices used in trading transactions. Fund prices subject to fund trading transactions may differ from the reference price in certain circumstances, such as the time of the investor's request to buy or sell funds, and whether the day of the request is a holiday in domestic or foreign markets. The prices subject to trading transactions are reflected on the trading platforms of banks, brokerage houses and other fund distribution institutions in accordance with the Capital Markets Board regulations and in line with the framework specified in the fund prospectuses.

The periodical returns disclosed on our website are indicative for individual investors and Iş Asset cannot be held responsible for possible errors and omissions arising from the data provider companies. The returns of mutual funds for past periods should not be considered as an indicator or guarantee of future performance. The price and return information on our website is not intended to be a guide in any way and should not be regarded as an advisory activity by investors and should not be taken as a basis for investment decisions. All kinds of information and statistical figures and values contained herein have been compiled from sources believed to be reliable and based on current market conditions as of the date of preparation. The information and data presented are intended to assist investors in their own investment decisions and do not constitute an offer and/or commitment to buy or sell any security.

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