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AK PORTFÖY ÖZEL SEKTÖR BORÇLANMA ARAÇLARINA YATIRIM YAPAN %110 ANAPARA KORUMA AMAÇLI OTUZBEŞİNCİ FON
OYY
TR
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Related Disclosure
Publish Date
06.01.2020 15:57:04
Disclosure Type
DG
Year
-
Period
-
Fund General Info Form
A
+
A
-
Signature
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Information About Fund
Fonun Kesinleşen Katılım Oranı
İhraç Sıra Numarası
Alt Fonun Kesinleşen Katılım Oranı (%)
1
40
Dayanak Varlığın Başlangıç Değeri ve Varsa Gözlem Günleri
İhraç Sıra Numarası
Dayanak Varlığın Başlangıç Değeri
Varsa Dayanak Varlığın Gözlem Günleri
1
Alphabet Inc.1.354,89
1
Facebook Inc 198,39
1
Amazon.Com Inc.1.790,66
1
Microsoft Corp. 154,69
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