Türkçe

TJI - TEB Asset Management Second Fund Basket Mutual Fund

We aim to create added value for your future

The fund   is actively managed and invests at least 80% of its assets in investment funds and exchange-traded funds (ETFs). The portfolio manager dynamically adjusts the asset allocation within predefined risk limits in line with market conditions and investment opportunities. The fund aims to deliver returns that provide an alternative to medium-term TRY deposit rates. Through a single investment, investors gain access to a diversified portfolio of funds, with allocations actively managed and reviewed on a regular basis.

Fund Code
TJI
Fund Unit Price
Risk Value
1
2
3
4
5
6
7
Trading Hours (Fund Start End Date)
09.00 - 13.15
BUY BUY
Fund Information Table
Fund Release Date
Fund Total Value
Fund Unit Price
Fund Management Fee

Benchmark

* As of

Asset Distribution Table *

Benchmark

* As of

Fund Information
First Date
Last Date
Fund Price
-
-
Fund Return
-
-
Fund Benchmark Return
-
-
İlk Tarih (Fon Kuruluş Tarihi):
Güncel Tarih (Bugün):
Fund Performance
Selected Filters
Weekly
Monthly
For 3 Months
For 6 Months
Yearly
YTD*

*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.

Date
Fund Price
Fund Information Videos
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