ÜNLÜ Second Variable Fund
Target Investor Profile:
The Fund is a Dynamic Variable fund. It aims high returns, with risk and volatility exceeding those of deposits.
It is suitable for investors with risk category R5
Investment Objective and Principle Strategies:
The Fund's investment strategy is based on the goal of maximizing risk-adjusted returns by capturing the fund interest rate cycles and managing the duration and credit risks.
The Fund invests into debt instruments issued by the Turkish Treasury, foreign governments as well as Turkish and foreign companies.
For investment purposes, the Fund may include in its portfolio; listed derivatives, warrants and certificates, based on BIST-traded issuer shares and issuer share indices, interest rates, foreign currencies/exchange rates and financial indices; and for hedging purposes, over the counter (OTC) derivatives based on the aforementioned underlying assets, warrants and certificates, along with swap contracts. Foreign investment instruments may also be included in the Fund portfolio.
The Fund is being managed with a targeted risk range of 4-5.
BIST-KYD 1 M Deposit
1.28% p.a. (charged daily to the Fund’s NAV). There are no other fees of any kind such as entry or exit charges.
Subscription and Redemption Frequency:
Subscription and Redemption Notice Period:
Subscription: Requests made before 13:30 executed on the same day closing price and subscribed to the fund 1 day after.
Requests made after 13:30 will be executed on the same day closing price and subscribed to the fund 2 days after.
Exit: Requests made before 13:30 will be executed on the same day closing price and subscribed to the fund a day after.
Türkiye İş Bankası A.Ş.
Capital Markets Board (CMB)
Mutual fund gains are subject to a withholding tax (at redemption) of 10% for indivudials and 0% for corporate clients