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RE-PIE PORTFÖY BİRİNCİ HİSSE SENEDİ SERBEST FON (HİSSE SENEDİ YOĞUN FON)
RTH
Summary Info
General Info
Financial Info
RE-PIE PORTFÖY BİRİNCİ HİSSE SENEDİ SERBEST FON (HİSSE SENEDİ YOĞUN FON)
INFORMATION ABOUT FUND
Umbrella Fund Title
RE-PIE PORTFÖY YÖNETİMİ A.Ş. SERBEST ŞEMSİYE FON
Category of Umbrella Fund
SERBEST ŞEMSİYE FON
Title of Founder
RE-PIE PORTFÖY YÖNETİMİ A.Ş.
Portfolio Manager Institution
Issue Number
Title of Portfolio Manager Institution
1
RE-PIE PORTFÖY YÖNETİMİ A.Ş.
ISIN Code
TRYRGGS00536
Independent Audit Company
DRT BAĞIMSIZ DENETİM VE SERBEST MUHASEBECİ MALİ MÜŞAVİRLİK A.Ş.
Public Offering Date of Fund
Issue Number
Public Offering Date of Fund
1
16/01/2023
Duration of Fund
Süresiz
Liquidation Date of Fund
Info not available
Main Trading Information
Trading Hours
Trading Places
Minimum Share Amount that can be Bought
Valuation Rules
Other Information
09:00 - 17:45
TEFAS PLATFORMU VE KURUCU
1
Nemalandırma Var
Information about Fund Portfolio
Web-site for Current Fund Portfolio Information
General Principles for Derivatives that will be Included to Fund Portfolio
www.re-pie.com
Investment Strategy and Risk Indicator of Fund
Investment Strategy
Risk Indicator
Fon?un hisse senedi yoğun fon olması nedeniyle Fon portföy değerinin en az %80?i devamlı olarak menkul kıymet yatırım ortaklıkları payları hariç olmak üzere BIST?te işlem gören ihraççı payları, ihraççı paylarına ve ihraççı payı endekslerine dayalı olarak yapılan vadeli işlem sözleşmelerinin nakit teminatları, ihraççı paylarına ve ihraççı payına dayalı opsiyon sözleşmelerinin primleri, borsada işlem gören ihraççı paylarına ve ihraççı payına dayalı aracı kuruluş varantları ile ihraççı paylarından oluşan endeksleri 27/11/2013 tarihli ve 28834 sayılı Resmi Gazete?de yayımlanan Borsa Yatırım Fonlarına İlişkin Esaslar Tebliği (III-52.2)?nin 5 inci maddesinin dördüncü fıkrasının (a) bendi kapsamında takip etmek üzere kurulan borsa yatırım fonları katılma paylarına yatırılır.
7
Fund Benchmark
Fund Benchmark
Bencmark Ratio (%)
Date and Number of Board Resolution About Benchmark Determination
BIST100 Getiri Endeksi
80
BIST-KYD Repo Brüt Endeksi
20
Threshold Value
Info not available
Transfer of the Fund's Net Income to Unit Holders
Info not available
Principles of Disclosure
Info not available
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 (%)
1
0,000054795
2
0,000054795
2
0
0
0
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
Ferhat Kaluç
15/08/2022
20
DÜZEY 3, TÜREV ARAÇLAR
Fund Portfolio Managers
Name-Surname
Appointment Date
Jobs in Last 5 Years (Year-Company-Position)
Experience in Capital Markets (Year)
Licenses Owned
Hasan Berat KIRIK
RE-PIE PORTFÖY YÖNETİMİ A.Ş. PORTFÖY YÖNETİCİSİ / MÜDÜR
15
DÜZEY 3 - TÜREV ARAÇLAR
Alper Büke EROL
RE-PIE PORTFÖY YÖNETİMİ A.Ş. PORTFÖY YÖNETİCİSİ
8
DÜZEY 3 - TÜREV ARAÇLAR
COMMUNICATION INFORMATION
Adress, Phone and Fax
Adress
Phone
Fax
e-Mail
Uniq İstanbul, Huzur Mah. Maslak Ayazağa Cad. No:4/C No:107 34485 Sarıyer/İSTANBUL
0 212 286 30 52
0 212 286 30 53
fon@re-pie.com
Contact People
Name-Surname
Position
Phone
e-Mail
Tuğçen AKAR
Satış ve Pazarlama Yönetmeni
0212 286 30 52
tugcen.akar@re-pie.com
MISCELLANEOUS
Miscellaneous
Info not available
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