Azimut PYŞ Strategy Hedge Fund

Fund Performance Data

Fund Strategy

The main investment strategy of Fund is to invest in any type of investment fund participation shares issued in Turkish Lira and/or foreign currency in Turkey and/or abroad, in order to provide investors with absolute returns. The Fund effectively uses portfolio timing and adjusts portfolio allocations to changing market conditions in order to invest in national and international investment instruments in order to achieve capital gains. Portfolio diversification is essential in the management of the Fund's portfolio and the aim is to reach return objectives through "asset allocation".

Fund Profile

Fund Code AZJ
Fund Name Azimut PYŞ Strategy Hedge Fund
Umbrella Fund Type Borçlanma Araçları Şemsiye Fonu
Management Fee (Yearly) 2%
Performance Fee 10.00%
Availability on TEFAS
Benchmark 50% BIST-KYD 1-MONTH DEPOSIT TL Index + 50% BIST-KYD GDS 365-Day Index
Benchmark for A Share Class (TRY)
Benchmark for B Share Class (USD)
Portfolio Managers Murat Salar, Abdullah Selim Kunt, Engin Ertam, Kutay Ultan

Trading Principles

Subscription and Redemption Frequency Weekly
Subscription and Redemption Notice Period Begining Until 12:00, 3 working days before the last working day of the week
Subscription and Redemption Notice Period Ending Until 12:00, 3 working days before the last working day of the week
Settlement Date for Subscriptions The First Business Day following the Settlement Day
Settlement Date for Redemptions The First Business Day following the Settlement Day
Risk Level (TL)
3
Risk Level (USD)

Fund-Specific Information

Sold only to qualified investors.

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