Our Services

OUR SERVICES

  • Summary

  • Performance

  • Trading Hours

  • Fund Documents

Investment Strategy

Assets and Trans. Types Min % Max %

0

25

0

10

0

25

0

20

0

30

0

100

Fund Details

Fund Establishment Approval Date

17.10.2017

Fund Code

KTU

ISIN

TRYKTPY00079

Total Net Asset Value

167,662,379.66

Unit Price

1.403905

Min. Purchasing Quantity

1

Min. saling Quantity

1

Management Fee (Annual)

% 0.30

Fund Risk Level

Risk levels are calculated by using weekly returns, considering the volatility of funds. Risk level is ranked between 1-7 levels, which 1 refers minimum risk, 7 refers maximum risk.