The fund's investment strategy is primarily by investing in other investment instruments, contracts to be a party, financial transactions and securities deemed appropriate by the Board, including debt instruments and lease certificates issued in foreign currency by the T.C. Ministry of Treasury and Finance, and money and capital market instruments issued in foreign currency by domestic issuers, It aims to provide return on (USD) basis, to provide capital gain and to increase the portfolio value. It will be invested in debt instruments and lease certificates issued in foreign currency by the Ministry of Treasury and Finance and in money and capital market instruments issued in foreign currency by domestic issuers. The remainder of the Fund will be invested in money and capital market instruments and/or Turkish Lira (TL) denominated money and capital market instruments of foreign issuers.
| Fund Code | UHL |
| Fund Name | Azimut Portföy Aruna (Foreign Currency) Private Hedge Fund |
| Umbrella Fund Type | Borçlanma Araçları Şemsiye Fonu |
| Management Fee (Yearly) | 0.147% |
| Performance Fee | – |
| Availability on TEFAS | – |
| Benchmark | BIST-KYD 1-Month Deposit USD Index |
| Benchmark for A Share Class (TRY) | The TRY return calculated by converting the BIST-KYD 1-Month Deposit USD Index value in the calculation period, at the beginning and end of the period, into TL, taking into account the foreign exchange buying rate announced by the CBRT on the relevant days. |
| Benchmark for B Share Class (USD) | The return of the BIST-KYD 1-Month Deposit USD Index during the calculation period. |
| Portfolio Managers | Abdullah Selim Kunt, Engin Ertam, Kutay Ultan |
| Subscription and Redemption Frequency | Daily |
| Subscription and Redemption Notice Period Begining | 9:00 |
| Subscription and Redemption Notice Period Ending | 13:00 |
| Settlement Date for Subscriptions | T+1 |
| Settlement Date for Redemptions | T+3 |
| Risk Level (TL) |
4
|
| Risk Level (USD) |
3
|
Sold only to qualified investors.
Fund participation shares are divided into Group A (TL) and Group B (USD). The price of Group A shares is announced in TL and Group A shares are bought and sold in TL, the price of Group B shares is announced in US Dollars (USD) and Group B shares are bought and sold in US Dollars (USD).
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