Only Turkish lira denominated assets and transactions will be included in the fund portfolio. There will be no foreign currency assets, gold and other precious metals and capital market instruments based on them in the fund portfolio. In addition, foreign currency assets and gold and other precious metals and capital market instruments and/or over-the-counter derivative instruments traded in organized markets based on these will not be included in the fund portfolio. The Fund has no management restrictions in terms of liquidity and/or maturity. The fund aims to provide capital gains and increase its portfolio value by investing in capital market instruments, other investment instruments deemed appropriate by the Board, contracts to be a party, financial transactions and securities in line with its investment forecast.
| Fund Code | BAO |
| Fund Name | Azimut Portföy Barkın (TL) Private Hedge Fund |
| Umbrella Fund Type | Hedge Umbrella Fund |
| Management Fee (Yearly) | %0,2625 |
| Performance Fee | |
| Availability on TEFAS | |
| Benchmark | BIST KYD 1-Month Deposit TL Index + 100 Base Points |
| Benchmark for A Share Class (TRY) | |
| Benchmark for B Share Class (USD) | |
| Portfolio Managers | Abdullah Selim Kunt, Engin Ertam, Kutay Ultan |
| Subscription and Redemption Frequency | Daily |
| Subscription and Redemption Notice Period Begining | 09:00 |
| Subscription and Redemption Notice Period Ending | 13:00 |
| Settlement Date for Subscriptions | T+1 |
| Settlement Date for Redemptions | T+2 |
| Risk Level (TL) |
3
|
| Risk Level (USD) |
Sold only to qualified investors.
We use cookies to ensure the functionality of our website and to provide you with the best experience. While essential cookies ensure basic functionality, other cookies will allow us to process data such as browsing behavior or unique IDs on this site, subject to your explicit consent, for advertising, marketing and personalization purposes only. You can update your cookie preferences at any time, and you can find detailed information at Cookie Policy page.
Fon fiyatları ve getiri bilgileri, yaşanan geçici teknik aksaklık nedeniyle şu anda güncel olarak görüntülenememektedir. Veri akışının yeniden sağlanması için gerekli çalışmalar sürmektedir. Yaşanan aksaklık için özür dileriz.