Assets under management in TRY.
GOLDEN BAZAARFund Analysis
OBI
Securities Investment Funds
OBI
OYAK PORTFÖY İKİNCİ BORÇLANMA ARAÇLARI (TL) FONU
2.870258 TRYData date 2026-05-25
Published investor count.
TEFAS risk scale.
Trailing one-year TRY performance.
TRY return converted with USDTRY movement.
return_3y
The 1M return in the dataset is compared with the historical monthly average.
Minimum first purchase amount.
Start with these points before you go deeper.
Lower risk band: 3/7.
One-year TRY return is positive: +37.01%.
Annual management fee is +1.00%.
Fund profile
Fund typeSecurities Investment Fund
CategoryDebt Instruments
FounderOYAK PORTFÖY
Portfolio managerOYAK PORTFÖY
Trading statusOpen
Buy valor1 day
Sell valor1 day
Minimum purchase1 TRY
Minimum redemption1 TRY
Annual management fee+1.00%
Maximum expense ratio+4.38%
Withholding taxNot published
ISINTRYOYKP00260
This field is not published in the public fund record.
Asset allocation
Government Bonds+42.37%
Treasury Bills+39.77%
Reverse Repo+17.40%
Takasbank Money Market+0.45%
Other+0.01%
TRY return table
1M TRY+1.41%
3M TRY+2.95%
6M TRY+14.80%
YTD TRY+5.34%
1Y TRY+37.01%
3Y TRY+168.37%
5Y TRY-
USD-based return table
1M USD-0.38%
3M USD-1.35%
6M USD+6.51%
1Y USD+16.58%
3Y USD+16.48%
5Y USD-
What the dataset can and cannot show
Coverage100%
Field coverage for this fund record.
Allocation5 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Missing or unpublished fields
No missing fields are flagged for this fund record.