Updates
Recent changes and new features
Premium's monthly price is now ₺149, and a new annual option at ₺1,380 (about 23% cheaper) has been added. The Free plan and existing Premium features are unchanged.
The correlation matrix's cell colors were completely missing in dark mode (only the text was visible). Fixed so colors show correctly in dark mode too.
The 'Sell' badge in the transaction list was nearly the same color as its background in dark mode, making it unreadable. This and similar badges were fixed to display readably in dark mode.
Some text was unreadable in dark mode because it matched its background color: correlation matrix cells, tag selection dropdowns, expanded FAQ headers, the user menu, and the BETA badge. All were fixed to display readably in dark mode.
The fund detail page's risk score (1-7) now shows a plain Low, Medium, High or Very High label next to the number.
The explanation on the tag group creation screen was simplified: it now plainly describes that a holding can only have one tag from that group at a time.
An unclear benchmark line was removed from the portfolio value chart, and the reference interest rate line now shows a plain label.
The portfolio page was simplified for individual investors: a few rarely-used technical indicators were removed, the fund similarity table now shows plain labels with a note summarizing the most similar fund pair, and a simple risk-level label (Low/Medium/High) was added next to the average risk score.
When you sell a fund at a profit, that gain no longer disappears from the 'Total Value' chart. An optional line, toggleable from the legend, now includes profit or loss from your sales in the value shown.
Premium plan is now live. XIRR, realized return, historical value chart, correlation matrix, risk contribution, and rebalancing table are now Premium-only. Free users continue to see portfolio value and simple return.
Premium users can download their full transaction history as a CSV file with one click. The file is fully compatible with Windows Excel.
All users now receive a weekly portfolio summary email every Monday with portfolio value and weekly return. Premium users additionally receive XIRR, TLREF alpha, and drift signal. A separate drift alarm email is sent when any holding moves outside its target band (Premium only).
Rebalance signals now use a tolerance band around each target weight. When a fund moves outside the band, buy/sell unit counts are calculated as a portfolio-wide cash-balanced plan.
A correlation matrix heat-map was added to the portfolio dashboard, showing pairwise correlations for all holdings. Spot diversification gaps and funds that move together at a glance.
A new page to compare two funds side by side: correlation value and a normalized dual-line price chart. Useful for evaluating portfolio diversification.
Dashboard and portfolio pages now include an asset value chart with TLREF and fund benchmarks matched to your real buy/sell cash flows.
The All Holdings table can now group funds by the selected tag group, with each group row showing total portfolio share, value, and return.
The fund-detail Sharpe ratio now accounts for the daily risk-free return derived from the BIST TLREF index.
When you do not have a portfolio yet, the dashboard now takes you directly to the portfolio creation screen.
The rebalance screen now shows the number of units to buy or sell for each target fund directly on the badge.
The Updates page was added so you can follow new features, improvements, and fixes in one place. Accessible from the top menu and the footer link.
Dashboard and portfolio metric cards now display in a two-column layout on mobile. The Price/Piece column in the transaction list hides automatically on narrow screens.
A new Portfolio Overview screen was added that groups your funds by tags and compares them against target weights. The rebalance table shows portfolio and target percentages side by side for each fund.
The market data card on the dashboard was replaced with a portfolio performance card showing how your portfolio return compares to other users.
The fund detail page now shows the SRRI risk level (1–7), ISIN code, and fund category fetched directly from TEFAS.
The market page was redesigned into a fund flow leaderboard powered by TEFAS data. Top inflow and outflow funds for the selected period are listed with a fund type filter.
MKK statement import now correctly records identical same-day transactions as separate entries instead of collapsing them into one.
Total cost, simple return, and XIRR (internal rate of return) metrics were added to the portfolio summary screen.
When adding a new transaction, the fund unit price is now automatically fetched from TEFAS for the selected date — no need to enter it manually.
You can now bookmark funds using the star icon on the fund list and fund detail pages for quick access later.
You can now add custom tags to funds to create your own classification. Tags are used to group funds in the portfolio overview and rebalance tables.
A profile page was added where you can update your account information and change your email address.