Fund prices are announced daily after the management fees calculated for that day are deducted. No additional fees are charged to investors.
| Fund Code | FJZ |
| Fund Inception / Management Date | 17.05.2021 |
| Fund Price | 1.34273 (USD) / 57.39275 (TL) |
| Fund Size | 40.403.634,3302 |
| Benchmark | Fonun eşik değeri; BIST-KYD 1 Aylık Mevduat USD Endeksi + %2,00 olarak belirlenmiştir. Amerikan Doları (USD) cinsinden ihraç edilen B grubu paylar için eşik değer getirisi, BIST-KYD 1 Aylık Mevduat USD Endeksinin hesaplama dönemindeki getirisine %2,00 ek getirinin hesaplama dönemine denk gelen kıst getirisi eklenerek hesaplanmaktadır. Türk Lirası (TL) cinsinden ihraç edilen A grubu paylar için eşik değer getirisi ise B grubu paylar için hesaplanan getirinin dönem içindeki USD/TRY getirisi kullanılarak Türk Lirası getiriye dönüştürülmesi ile bulunmaktadır. USD/TRY getirisi hesaplamasında hesaplama dönemi başı ve hesaplama dönemi sonu tarihlerinde TCMB tarafından saat 15:30’da açıklanan gösterge niteliğindeki USD döviz alış kurları kullanılmaktadır. (Ölçüt getirisi A grubu paylarına göre hesaplanmıştır.) |
| Umbrella Fund Type | Serbest Fonlar - Döviz |
| Notice Period (Purchase/Sale) (Business Days) | T+1/T+3 |
| Management Fee (Annual %) | 0,75 |
| Fund Return (Daily %) | 0,03 |
| Where to Buy and Sell | Fibabanka A.Ş. - Tefas - Fiba Portföy Yönetimi A.Ş |
The fund’s main investment strategy is to pursue a return-oriented portfolio management in U.S. Dollars (USD) by primarily investing in foreign currency-denominated money and capital market instruments issued by the public sector and domestic private issuers. Within these markets, the fund will focus on investment instruments that offer high returns and/or provide return opportunities arising from market fluctuations. To support this strategy, the fund may take positions in foreign currency-denominated derivative instruments for hedging and/or investment purposes, and may also make use of arbitrage opportunities.
| Currency | Daily | Weekly | 35-Day | Last 1 Year | 2025 | 2024 | 2023 | Selected Date Range | |
|---|---|---|---|---|---|---|---|---|---|
| Fund | USD | %0,03 | %0,2 | %1,13 | %10,49 | %10,17 | %8,81 | %14,94 | %0,91 |
| Deposit Equivalent | USD | %13,73 | %11,5 | %13 | %11,54 | %11,4 | %9,69 | %16,43 | %12,13 |
Fund prices are announced daily after the management fees calculated for that day are deducted. No additional fees are charged to investors.
Detailed portfolio information of the funds is published on the Public Disclosure Platform (KAP) within the first six business days of each month. You can access this information via the relevant fund page at www.kap.org.tr.
Hedge funds are established exclusively for qualified investors and have flexible investment strategies. Qualified investors are individuals defined as professional clients under Capital Markets Board (CMB) regulations.
You can access historical returns and graphical performance data of the funds in the “Returns” or “Fund Details” sections of our website.