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We aim to create added value for your future
The main investment strategy of the fund is to combine the additional return generated by selected stocks based on the analysis and forecasts of fund managers with the internal return earned from short positions on the VIOP Index, thereby creating a return above the deposit rate. At least 80% of the total value of the fund is invested in shares of companies traded on the BIST or in participation units of exchange-traded funds established to track indices composed of shares traded on the BIST. By utilizing short positions on the VIOP Index, the market direction risk of the portfolio is reduced. The fund aims to provide absolute returns independent of market movements based on fundamental analysis. The sale of the fund can only be made to qualified investors who meet the necessary conditions specified in CMB regulations.
Benchmark
* As of
*Represents year to date returns. For funds established after the beginning of the year, the returns are since inception.
**Past term Fund returns are not an indication of future returns.
The recorded fund price changes since the IPO date are listed. You can view price changes on different dates by selecting a date range or period.