Detaylı Filtreleme
Commodity and Precious Metals Funds
Technology Thematic Funds
Sustainability Funds
Market Aligned Funds
Funds Investing in Foreign Currency Denominated Instruments
International Funds
Funds Investing in Domestic And Foreign Markets
Non-interest Loan Securities Funds
Domestic Equity Funds
Domestic Money Market and Debt Instruments Funds
Hedge Funds
Hedge (FX) Funds
Closed-end Hedge (FX) Funds
Hedge Funds
Participation Funds
Precious Metals Funds
Equity Funds
Debt Funds
Variable Funds
Mixed Funds
Fund of Funds
Money Market Funds
Hedge (FX) Funds
Risk Level
Currency
| Fund Code Fund Name | Currency | Risk Level | ||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|
Commodity and Precious Metals Funds (4) | ||||||||||||
|
IOG
12/12/2025
İş Asset Management Silver Hedge Fund |
TRY | 12.258908 | 7 | % 2.6142 | % 22.89 | % 51.87 | % 153.52 | |||||
|
TTA
12/12/2025
İş Asset Gold Fund |
TRY | 0.583205 | 6 | % 0.7459 | % 1.49 | % 18.47 | % 85.43 | |||||
|
IJT
12/12/2025
İş Asset Agriculture Hedge Fund |
TRY | 5.701482 | 6 | % 0.4121 | % 0.63 | % 5.05 | % 10.48 | |||||
|
TGE
12/12/2025
İş Asset Foreign Commodity ETF Fund Of Funds |
TRY | 0.209107 | 6 | % 0.0766 | % 2.02 | % 11.80 | % 39.80 | |||||
Technology Thematic Funds (8) | ||||||||||||
|
BIO
|
TRY | 2.078252 | 6 | % 0.5577 | % 6.10 | % 8.46 | % 12.53 | |||||
|
IJZ
|
TRY | 9.670781 | 6 | % 0.3902 | -% 2.36 | % 2.29 | % 30.80 | |||||
|
TTE
|
TRY | 0.998086 | 7 | % 0.1556 | -% 0.47 | % 0.58 | % 27.18 | |||||
|
IPJ
12/12/2025
İş Asset Electric Vehicles Mixed Fund |
TRY | 15.156914 | 6 | % 0.0948 | % 1.92 | % 17.32 | % 48.60 | |||||
|
IJC
|
TRY | 9.990393 | 6 | % 0.0122 | % 1.59 | % 11.18 | % 40.98 | |||||
|
IJP
12/12/2025
İş Asset Blockchain Technologies Mixed Fund |
TRY | 6.759404 | 6 | -% 0.0533 | -% 0.62 | % 5.56 | % 45.56 | |||||
|
ITP
12/12/2025
İş Asset Technology Mixed Fund |
TRY | 9.755842 | 6 | -% 0.1486 | % 1.55 | % 9.28 | % 46.29 | |||||
|
IJB
12/12/2025
İş Asset Digital Game Sector Mixed Fund |
TRY | 5.899895 | 6 | -% 0.5138 | -% 2.94 | -% 1.66 | % 47.91 | |||||
Sustainability Funds (7) | ||||||||||||
|
BIO
|
TRY | 2.078252 | 6 | % 0.5577 | % 6.10 | % 8.46 | % 12.53 | |||||
|
TMC
12/12/2025
İş Asset Tema Variable Fund |
TRY | 0.139118 | 4 | % 0.5544 | % 2.90 | % 9.95 | % 24.44 | |||||
|
EDU
12/12/2025
İş Asset TEV Education Support Variable Fund |
TRY | 2.899991 | 4 | % 0.5249 | % 5.69 | % 12.44 | % 31.61 | |||||
|
IHK
|
TRY | 14.539804 | 6 | % 0.4611 | % 6.18 | % 8.33 | % 9.67 | |||||
|
TMZ
|
TRY | 1.614723 | 5 | % 0.3830 | % 1.04 | % 8.93 | % 30.68 | |||||
|
IKP
12/12/2025
İş Asset Renewable Energy Mixed Fund |
TRY | 6.855752 | 6 | % 0.3239 | -% 0.60 | % 12.74 | % 65.50 | |||||
|
IPJ
12/12/2025
İş Asset Electric Vehicles Mixed Fund |
TRY | 15.156914 | 6 | % 0.0948 | % 1.92 | % 17.32 | % 48.60 | |||||
Market Aligned Funds (10) | ||||||||||||
|
EDU
12/12/2025
İş Asset TEV Education Support Variable Fund |
TRY | 2.899991 | 4 | % 0.5249 | % 5.69 | % 12.44 | % 31.61 | |||||
|
KKH
12/12/2025
İş Asset Balanced Fund Of Funds |
TRY | 5.744588 | 4 | % 0.4379 | % 5.46 | % 13.82 | % 39.43 | |||||
|
TI7
12/12/2025
İş Asset Robofon Balanced Variable Fund |
TRY | 66.392633 | 4 | % 0.4338 | % 7.12 | % 10.36 | % 29.95 | |||||
|
IPG
12/12/2025
İş Asset Attack Basket Fund Of Funds |
TRY | 8.080598 | 5 | % 0.3253 | % 4.59 | % 9.69 | % 36.60 | |||||
|
IBB
12/12/2025
İş Asset Attack Variable Fund |
TRY | 12.789356 | 5 | % 0.3119 | % 7.66 | % 11.37 | % 25.67 | |||||
|
FBV
12/12/2025
İş Asset Model Hedge Fund |
TRY | 6.072447 | 6 | % 0.2954 | % 3.28 | % 6.62 | % 43.50 | |||||
|
TBP
|
TRY | 0.238887 | 3 | % 0.2867 | % 5.64 | % 11.37 | % 34.71 | |||||
|
ILZ
12/12/2025
İş Asset Cautious Fund Of Funds |
TRY | 6.854027 | 2 | % 0.2753 | % 5.56 | % 12.74 | % 46.66 | |||||
|
TI4
12/12/2025
İş Asset Robofon Cautious Variable Fund |
TRY | 0.052615 | 2 | % 0.2286 | % 7.66 | % 10.47 | % 48.65 | |||||
|
IAM
12/12/2025
İş Asset Management Aggressive Fund Of Funds |
TRY | 1.446442 | 5 | % 0.2274 | % 1.97 | % 12.08 | % 35.55 | |||||
Funds Investing in Foreign Currency Denominated Instruments (3) | ||||||||||||
|
IPV
|
TRY | 67.606826 | 6 | % 0.2522 | % 2.45 | % 5.83 | % 28.81 | |||||
|
TMG
12/12/2025
İş Asset Foreign Equity Fund |
TRY | 1.145967 | 6 | % 0.1284 | % 1.28 | % 12.32 | % 47.83 | |||||
|
TDG
12/12/2025
İş Asset Foreign Debt Instruments Fund |
TRY | 0.466925 | 6 | % 0.0776 | % 1.10 | % 3.94 | % 24.90 | |||||
International Funds (2) | ||||||||||||
|
TMG
12/12/2025
İş Asset Foreign Equity Fund |
TRY | 1.145967 | 6 | % 0.1284 | % 1.28 | % 12.32 | % 47.83 | |||||
|
TDG
12/12/2025
İş Asset Foreign Debt Instruments Fund |
TRY | 0.466925 | 6 | % 0.0776 | % 1.10 | % 3.94 | % 24.90 | |||||
Funds Investing in Domestic And Foreign Markets (10) | ||||||||||||
|
IKL
12/12/2025
İş Asset Healthcare Companies Mixed Fund |
TRY | 8.336696 | 6 | % 0.8750 | % 4.59 | % 13.02 | % 33.75 | |||||
|
IEV
12/12/2025
İş Asset Transportation Variable Fund |
TRY | 4.261377 | 6 | % 0.7941 | % 4.42 | % 6.80 | % 28.85 | |||||
|
TKK
12/12/2025
İş Asset Moneybox Account Mixed Special Fund |
TRY | 1.408903 | 7 | % 0.4472 | % 5.64 | % 11.73 | % 22.09 | |||||
|
IJZ
|
TRY | 9.670781 | 6 | % 0.3902 | -% 2.36 | % 2.29 | % 30.80 | |||||
|
IKP
12/12/2025
İş Asset Renewable Energy Mixed Fund |
TRY | 6.855752 | 6 | % 0.3239 | -% 0.60 | % 12.74 | % 65.50 | |||||
|
IPJ
12/12/2025
İş Asset Electric Vehicles Mixed Fund |
TRY | 15.156914 | 6 | % 0.0948 | % 1.92 | % 17.32 | % 48.60 | |||||
|
IJC
|
TRY | 9.990393 | 6 | % 0.0122 | % 1.59 | % 11.18 | % 40.98 | |||||
|
IJP
12/12/2025
İş Asset Blockchain Technologies Mixed Fund |
TRY | 6.759404 | 6 | -% 0.0533 | -% 0.62 | % 5.56 | % 45.56 | |||||
|
ITP
12/12/2025
İş Asset Technology Mixed Fund |
TRY | 9.755842 | 6 | -% 0.1486 | % 1.55 | % 9.28 | % 46.29 | |||||
|
IJB
12/12/2025
İş Asset Digital Game Sector Mixed Fund |
TRY | 5.899895 | 6 | -% 0.5138 | -% 2.94 | -% 1.66 | % 47.91 | |||||
Non-interest Loan Securities Funds (2) | ||||||||||||
|
KPI
|
TRY | 1.137776 | 1 | % 0.1019 | % 3.12 | % 9.85 | % 13.65 | |||||
|
IAT
|
TRY | 0.156629 | 1 | % 0.0952 | % 2.95 | % 9.74 | % 42.47 | |||||
Domestic Equity Funds (11) | ||||||||||||
|
IDH
|
TRY | 10.684042 | 6 | % 0.9614 | % 1.98 | % 8.87 | % 13.89 | |||||
|
IHT
|
TRY | 3.117327 | 6 | % 0.8501 | % 3.49 | % 3.49 | % 2.46 | |||||
|
TI2
|
TRY | 0.109691 | 6 | % 0.6912 | % 5.65 | % 7.77 | % 10.62 | |||||
|
KPH
|
TRY | 1.129495 | 6 | % 0.5734 | % 3.73 | % 11.29 | % 11.56 | |||||
|
BIO
|
TRY | 2.078252 | 6 | % 0.5577 | % 6.10 | % 8.46 | % 12.53 | |||||
|
IML
|
TRY | 1.403610 | 6 | % 0.5488 | % 8.14 | % 11.48 | % 30.67 | |||||
|
IHK
|
TRY | 14.539804 | 6 | % 0.4611 | % 6.18 | % 8.33 | % 9.67 | |||||
|
TIE
|
TRY | 0.559073 | 6 | % 0.3619 | % 6.72 | % 6.98 | % 15.64 | |||||
|
TTE
|
TRY | 0.998086 | 7 | % 0.1556 | -% 0.47 | % 0.58 | % 27.18 | |||||
|
TAU
|
TRY | 0.623302 | 7 | -% 0.3833 | % 13.66 | % 8.65 | % 13.88 | |||||
|
TI3
|
TRY | 0.108526 | 7 | -% 1.0287 | % 7.74 | % 4.46 | % 1.67 | |||||
Domestic Money Market and Debt Instruments Funds (9) | ||||||||||||
|
TIV
|
TRY | 41.605868 | 1 | % 0.1253 | % 3.03 | % 9.90 | % 43.94 | |||||
|
TSI
|
TRY | 0.161924 | 1 | % 0.1206 | % 3.01 | % 9.96 | % 45.97 | |||||
|
IOP
12/12/2025
İş Asset Odeabank Money Market (TL) Fund |
TRY | 4.848904 | 2 | % 0.1140 | % 3.20 | % 10.45 | % 50.32 | |||||
|
IOO
12/12/2025
İş Asset Second Money Market (TL) Fund |
TRY | 3.550254 | 2 | % 0.1088 | % 3.17 | % 10.30 | % 49.58 | |||||
|
TI1
12/12/2025
İş Asset Money Market (TL) Fund |
TRY | 1,285.885220 | 2 | % 0.1080 | % 3.13 | % 10.18 | % 48.93 | |||||
|
IUZ
12/12/2025
İş Asset Anadolubank Money Market (TL) Fund |
TRY | 3.663105 | 1 | % 0.1076 | % 3.16 | % 10.30 | % 49.38 | |||||
|
IBK
|
TRY | 0.105041 | 2 | % 0.0972 | % 3.26 | % 10.34 | % 48.67 | |||||
|
TBV
|
TRY | 0.316816 | 1 | % 0.0878 | % 3.18 | % 10.19 | % 48.13 | |||||
|
TI6
|
TRY | 0.046270 | 4 | % 0.0238 | % 5.75 | % 11.41 | % 33.12 | |||||
Hedge Funds (8) | ||||||||||||
|
IOG
12/12/2025
İş Asset Management Silver Hedge Fund |
TRY | 12.258908 | 7 | % 2.6142 | % 22.89 | % 51.87 | % 153.52 | |||||
|
BHL
|
TRY | 1.001895 | 6 | % 0.6527 | % 8.38 | % 8.78 | % 10.87 | |||||
|
IJT
12/12/2025
İş Asset Agriculture Hedge Fund |
TRY | 5.701482 | 6 | % 0.4121 | % 0.63 | % 5.05 | % 10.48 | |||||
|
FBV
12/12/2025
İş Asset Model Hedge Fund |
TRY | 6.072447 | 6 | % 0.2954 | % 3.28 | % 6.62 | % 43.50 | |||||
|
MGB
|
TRY | 1.316676 | 2 | % 0.1269 | % 1.85 | % 9.75 | % 31.67 | |||||
|
UNT
12/12/2025
İş Asset Third Hedge (TL) Fund |
TRY | 1.204433 | 2 | % 0.1066 | % 3.23 | % 10.25 | % 20.44 | |||||
|
ILH
12/12/2025
İş Asset First Money Market Hedge (TL) Fund |
TRY | 3.070832 | 2 | % 0.1046 | % 3.20 | % 10.21 | % 50.14 | |||||
|
IYR
12/12/2025
İş Asset Hedef Management Hedge Fund |
TRY | 0.115233 | 6 | -% 0.0286 | % 4.00 | % 7.52 | -% 0.78 | |||||
Hedge (FX) Funds (16) | ||||||||||||
|
IUV
12/12/2025
İş Asset Fifth Hedge (FX) Fund |
USD | 1.362491 | 5 | % 0.1818 | % 1.93 | % 2.88 | % 13.54 | |||||
|
IOH
12/12/2025
İş Asset Eighteenth Hedge (FX) Fund |
USD | 1.081789 | 4 | % 0.1159 | % 0.88 | % 2.37 | % 8.18 | |||||
|
KKP
|
USD | 1.043866 | 4 | % 0.1021 | % 1.16 | % 0.47 | % 2.02 | |||||
|
IRE
12/12/2025
İş Asset Dividend Paying Hedge (FX) Fund |
USD | 1.000527 | 4 | % 0.0941 | - | - | % 0.05 | |||||
|
YBR
12/12/2025
İş Asset Twentyfirst Hedge (FX) Fund |
USD | 1.120309 | 4 | % 0.0832 | % 2.08 | % 3.59 | % 12.03 | |||||
|
IDF
12/12/2025
İş Asset Hedge (Foreign Exchange) Fund |
USD | 1.565468 | 5 | % 0.0687 | % 1.04 | % 2.32 | % 9.65 | |||||
|
CKS
12/12/2025
İş Asset First Participation Hedge (FX) Fund |
USD | 1.242849 | 4 | % 0.0568 | % 0.80 | % 2.31 | % 7.75 | |||||
|
ILC
12/12/2025
İş Asset Thirteenth Hedge (FX) Fund |
USD | 1.048522 | 3 | % 0.0385 | % 0.45 | % 1.34 | % 4.85 | |||||
|
IOJ
|
USD | 1.063887 | 4 | % 0.0354 | % 0.45 | % 1.32 | % 5.26 | |||||
|
IZY
12/12/2025
İş Asset Seventeenth Hedge (FX) Fund |
USD | 1.000016 | 4 | % 0.0289 | - | - | % 0.00 | |||||
|
IZL
|
USD | 1.077181 | 4 | % 0.0272 | % 0.62 | % 1.75 | % 6.07 | |||||
|
IUF
12/12/2025
İş Asset Seventh Hedge (FX-Euro) Fund |
EUR | 1.200922 | 3 | % 0.0222 | % 0.79 | % 2.12 | % 8.34 | |||||
|
ONS
12/12/2025
İş Asset Twelfth Hedge (FX) Fund |
USD | 1.104520 | 3 | % 0.0202 | % 0.31 | % 0.94 | % 3.54 | |||||
|
INR
12/12/2025
İş Asset Eleventh Hedge (FX) Fund |
USD | 1.045271 | 3 | % 0.0153 | % 0.33 | % 1.07 | % 4.53 | |||||
|
YPN
12/12/2025
İş Asset Twentieth Hedge (Fx-Pound) Fund |
GBP | 1.026831 | 1 | % 0.0085 | % 0.26 | % 0.75 | % 2.68 | |||||
|
IDO
12/12/2025
İş Asset Nineteenth Hedge (FX-Euro) Fon |
EUR | 1.033594 | 2 | % 0.0058 | % 0.18 | % 0.55 | % 2.09 | |||||
Closed-end Hedge (FX) Funds (9) | ||||||||||||
|
IOH
12/12/2025
İş Asset Eighteenth Hedge (FX) Fund |
USD | 1.081789 | 4 | % 0.1159 | % 0.88 | % 2.37 | % 8.18 | |||||
|
KKP
|
USD | 1.043866 | 4 | % 0.1021 | % 1.16 | % 0.47 | % 2.02 | |||||
|
IRE
12/12/2025
İş Asset Dividend Paying Hedge (FX) Fund |
USD | 1.000527 | 4 | % 0.0941 | - | - | % 0.05 | |||||
|
ILC
12/12/2025
İş Asset Thirteenth Hedge (FX) Fund |
USD | 1.048522 | 3 | % 0.0385 | % 0.45 | % 1.34 | % 4.85 | |||||
|
IOJ
|
USD | 1.063887 | 4 | % 0.0354 | % 0.45 | % 1.32 | % 5.26 | |||||
|
IZY
12/12/2025
İş Asset Seventeenth Hedge (FX) Fund |
USD | 1.000016 | 4 | % 0.0289 | - | - | % 0.00 | |||||
|
IZL
|
USD | 1.077181 | 4 | % 0.0272 | % 0.62 | % 1.75 | % 6.07 | |||||
|
INR
12/12/2025
İş Asset Eleventh Hedge (FX) Fund |
USD | 1.045271 | 3 | % 0.0153 | % 0.33 | % 1.07 | % 4.53 | |||||
|
ITV
12/12/2025
İş Asset Sixth Hedge (FX) Fund |
USD | 1.074887 | 4 | % 0.0056 | % 0.27 | % 0.89 | % 4.00 | |||||
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.