TEFAS Funds
GOLDEN BAZAARFund Analysis
HAI
Securities Investment Funds

HAI

AHLATCI PORTFÖY ALTIN FONU

1.002983 TRYData date 2026-06-12
Total fund value7.1M TRY

Assets under management in TRY.

Investor count11

Published investor count.

Risk valueVerification pending

TEFAS risk scale.

1Y TRYVerification pending

Trailing one-year TRY performance.

1Y USDVerification pending

TRY return converted with USDTRY movement.

Monthly averageVerification pending

Estimated from return windows in the dataset.

Loaded month vs avg.Verification pending

The 1M return in the dataset is compared with the historical monthly average.

Minimum buy-

Minimum first purchase amount.

Quick read

Start with these points before you go deeper.

Annual management fee is -.

Fund profile

Fund typeSecurities Investment Fund
CategoryVerification pending
FounderAhlatci Portföy
Portfolio managerAhlatci Portföy
Trading statusOpen
Buy valorVerification pending
Sell valorVerification pending
Minimum purchaseVerification pending
Minimum redemptionVerification pending
Annual management feeVerification pending
Maximum expense ratioVerification pending
Withholding taxVerification pending
ISINVerification pending

Asset allocation

Allocation data comes from the 2026-06-12 dataset and may lag because funds publish holdings on monthly/public disclosure schedules.

TL Participation Accounts+100.00%

TRY return table

1M TRYVerification pending
3M TRYVerification pending
6M TRYVerification pending
YTD TRYVerification pending
1Y TRYVerification pending
3Y TRYVerification pending
5Y TRYVerification pending

USD-based return table

1M USDVerification pending
3M USDVerification pending
6M USDVerification pending
1Y USDVerification pending
3Y USDVerification pending
5Y USDVerification pending
Allocation similarity

Funds with similar asset-class allocation

This is not position-level overlap; it compares only the asset-class weights available in the dataset.

Source date: 2026-06-12

What the dataset can and cannot show

Coverage63.6%

Field coverage for this fund record.

Allocation1 rows

Asset-class level allocation only.

Position-level holdings, increased positions, reduced positions, and money-flow maps are not shown here unless they exist in the dataset. This keeps the page clear and prevents invented analysis.

Missing or unpublished fields

risk valuemanagement feeminimum purchase amountreturn 1y
Dataset noteThe Golden Bazaar fund dataset contains 2,437 open funds and 11,188 asset-allocation rows. Source date is 2026-06-12; USD returns use the USDTRY movement loaded through 2026-05-22. Missing values are shown as verification pending instead of being filled with estimates.