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OSMANLI PORTFÖY MİNERVA SERBEST FON
OSH
Summary Info
General Info
Financial Info
OSMANLI PORTFÖY MİNERVA SERBEST FON
INFORMATION ABOUT FUND
Umbrella Fund Title
Osmanlı Portföy Yönetimi A.Ş. Serbest Şemsiye Fon
Category of Umbrella Fund
Serbest Fon
Title of Founder
OSMANLI PORTFÖY YÖNETİMİ A.Ş.
Portfolio Manager Institution
Issue Number
Title of Portfolio Manager Institution
Osmanlı Portföy Yönetimi A.Ş.
ISIN Code
TRYOSMK00038
Independent Audit Company
PwC BAĞIMSIZ DENETİM VE SERBEST MUHASEBECİ MALİ MÜŞAVİRLİK A.Ş
Public Offering Date of Fund
Issue Number
Public Offering Date of Fund
31/05/2012
Duration of Fund
Süresiz
Liquidation Date of Fund
Info not available
Main Trading Information
Info not available
Information about Fund Portfolio
Web-site for Current Fund Portfolio Information
General Principles for Derivatives that will be Included to Fund Portfolio
www.osmanliportfoy.com.tr
Investment Strategy and Risk Indicator of Fund
Investment Strategy
Risk Indicator
Fonun ana yatırım stratejisi temel olarak BİST Pay Piyasası'nda işlem gören ortaklık paylarının analiz edilmesiyle değer yaratma potansiyeline sahip ortaklık paylarında orta/uzun vadeli uzun pozisyon almak ve ödünç taşınmasında likidite sıkışıklığı bulunmayan, değerleme olarak pahalı ortaklık paylarında veya ortaklık payı endekslerine dayalı türev araçlar aracılığı ile kısa pozisyon almak suretiyle BİST 100 Endeksi?nin üzerinde getiri elde etmektir. Bu yönetim stratejisi doğrultusunda fon yöneticisi net uzun hisse pozisyonu taşımayı hedeflemektedir
7
Fund Benchmark
Fund Benchmark
Bencmark Ratio (%)
Date and Number of Fund Board Resolution About Benchmark Determination
BIST 100 ENDEKSİ
100
COMMISSION AND EXPENSE INFORMATION
Fund Management Fee Rates And Purchase Redemption Commissions
Issue Number
Fund Management Cost Rate Defined in Fund Rules (Daily) (%)
Annual Management Fee Rate in Fund Rules (%)
Daily Management Fee Rate (%)
Annual Management Fee Rate (%)
Purchase Commission (%)
Purchase Commission Info
Redemption Commission (%)
Redemption Commission Info
Performance Fee Rate (%)
0,003836
1,4
0,003836
1,4
Commission Paid to Brokerage Houses and Asset Purchase/Redemption Information
Display
Fund Total Expense Ratio and Distribution of Fund Total Expense
Display
FUND AND PORTFOLIO MANAGERS
Fund Manager
Name-Surname
Appointment Date
Experience in Capital Markets (Year)
Licenses Owned
Ayşe Biçe Çalışkan
25
SPL Düzey 2
Fund Portfolio Managers
Name-Surname
Appointment Date
Jobs in Last 5 Years (Year-Company-Position)
Experience in Capital Markets (Year)
Licenses Owned
Mehmet Taylan Tatlısu
24/05/2017
2012-..Osmanlı Portföy Yönetimi A.Ş.- Portföy Yöneticisi
21
SPL3,Türev Araçlar
Can Tuğrul Kıyıcı
03/08/2021
2021- Osmanlı Portföy Yönetimi A.Ş.-Portföy Yöneticisi
15
SPL3- Türev Araçlar
COMMUNICATION INFORMATION
Adress, Phone and Fax
Adress
Phone
Fax
e-Mail
Maslak Mah. Büyükdere Cad. N:257 İç kapı no:69 Nurol Plaza Sarıyer-İstanbul
02123668800
02123284070
info@osmanliportfoy.com.tr
Contact People
Name-Surname
Position
Phone
e-Mail
Mehmet Taylan Tatlısu
Genel Müdür
02123668800
info@osmanliportfoy.com.tr
MISCELLANEOUS
Miscellaneous
Info not available
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