Fund Selection
Fund Summary
FIT FİBA PORTFÖY BORÇLANMA ARAÇLARI (TL) FONU
₺0.2261 26 Jun 2026
Debt Instruments Fund Securities Fund Active

Risk 4/7
Buy Valor T+1
Sell Valor T+1
Market Share %0.11
ISIN TRYBEUR00033

This fund is distributed through the TEFAS platform and regulated by the Capital Markets Board of Turkey (SPK). It is classified as a Debt Instruments Fund. It carries an SRRI risk rating of 4 out of 7. Buy orders before 13:30: credited the next business day at the next day's price. After 13:30: credited in 2 business days at the 2nd business day's price. Sell orders before 13:30: redeemed the next business day at the next day's price. After 13:30: redeemed in 2 business days at the 2nd business day's price. It is held by 569.00 investors. Portfolio size: 197,622,701.36 TL.

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