GDP GARANTİ PORTFÖY DOKUZUNCU SERBEST (DÖVİZ) ÖZEL FON
GDP primarily holds özel sektör dış borçlanma aracı. Over the past year it returned 24.2%; 5.97% below official inflation. With an annual 0.15% management fee, it trades in the Serbest Fon category. Launched in 2020, it manages 1.5B ₺ in assets across 1 investors. (Average position: ~1.5B ₺)
Real -5.97% (after inflation), compared with TÜİK-CPI (32.1%).
- Özel Sektör Dış Borçlanma Aracı 50.4%
- Döviz Kamu İç Borçlanma Aracı 31.4%
- Yabancı Özel Sektör Borçlanma Aracı 11.5%
- Yatırım Fonu Katılma Payı 3.05%
- Özel Sektör Tahvili 2.56%
- Mevduat (TL) 0.68%
- Diğer 0.46%
🎯 Declared Strategy
Fon portföyüne dahil edilecek türev araç işlemleri ile ilgili genel ilkeler fon izahnamesinde yer almaktadır.
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Fund Profile
What is the GDP fund?
GDP is a mutual fund managed by Garanti Portföy. It is tracked under the code GDP, in the Serbest category.
How has the GDP fund performed?
It returned 24.2% over the past year, in nominal terms. Adjusted for official inflation (TÜFE), its 1-year real return is -5.97%. Year to date it is 11.6%. Over 5 years it returned 652%.
What does the GDP fund hold?
Portfolio allocation: Özel Sektör Dış Borçlanma Aracı 50.4%, Döviz Kamu İç Borçlanma Aracı 31.4%, Yabancı Özel Sektör Borçlanma Aracı 11.5%.
What does the GDP fund cost?
The annual management fee is 0.15%.
How much withholding tax does the GDP fund carry?
The estimated withholding rate on gains is 17.5%.
Rates are estimates; consult your tax advisor about your own situation.
Not investment advice