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Multi-Asset Fund II

Multi-Asset Fund II

Funds
Code
Fund Name
Y-O-Y
Y-T-D
6M
3M
1M
DAILY
AUM
DENOMINATION
IPF
Multi-Asset Fund II
32,65%
18,10%
10,09%
5,22%
0,77%
-0,13%
135.288.418
TL

General Info

FUND PRICE

0.122432

INCEPTION DATE

02.09.2013

Investment Strategy

IPF is a multi-asset fund subscribed to and redeemed in Turkish lira (TRY) and invests in domestic and international assets. The fund’s objective is to generate the highest possible absolute return within predefined and regularly monitored risk limits. To achieve this, the portfolio is strategically diversified across commodities, international equities, and exchange-traded funds (ETFs). For hedging and investment purposes, the fund may also invest in derivatives and option contracts linked to foreign exchange, interest rates, and indices.

Management Fee

2%

TAXATION

The fund invests in both domestic and international assets. Capital gains realized upon redemption are subject to a 17.5% withholding tax on TRY-denominated returns. Investments in certain asset classes (including foreign equities, commodities, and Eurobonds) may provide tax advantages for individual investors.

CUSTODIAN BANK FOR CLIENT ASSETS

İŞ BANKASI

SUBSCRIPTION / REDEMPTION Currency

TL

SUBSCRIPTION

T + 1

REDEMPTION

T + 3

EXIT COMMISSION

None.

Performance Fee

There is no performance fee charged within the fund itself. However, 20% of any return generated above the pre-defined performance hurdle is charged to investors’ accounts at year-end (or upon redemption).

Asset Allocation

Performance Overview