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OGB OYAK PORTFÖY YÖNETİMİ A.Ş. ÜÇÜNCÜ GİRİŞİM SERMAYESİ YATIRIM FONU Oyak Portföy

Girişim Sermayesi Yatırım Fonları
 
 
 
-0.05% past month
Summary

OGB primarily holds hisse senedi. Over the past year it returned 17.9%; 10.7% below official inflation. It manages 7.0B ₺ in assets across 8 investors. (Average position: ~869M ₺)

NOMINAL RETURN · 1Y
+17.9%
CPI 32.1%
USD 16.9%

Real -10.7% (after inflation), compared with TÜİK-CPI (32.1%).

Fund Size
7.0B ₺
Total portfolio value
Net Flow
+5.3M ₺
1-year net in/out
Management Fee
Charged from the fund whether you gain or lose.
Max Expense Ratio
Annual cap for all expenses.
Withholding
%0–17,5
Varies by holding period.
Withholding — By Holding Period
  • 2 yıldan az tutulursa 17.5%
  • 2 yıldan çok tutulursa 0.00%
No withholding on the gain when a REIF/VCIF is held for 2 years or more.
HS100%
  • Hisse Senedi 100%
Purchasing Power
₺ TÜFE
Period
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Nominal Return · —
Unit-share return for the selected period. Pick a benchmark on the chart for purchasing power.
Return
1 Month -0.05%
3 Months -0.15%
6 Months -0.30%
YTD -0.34%
1 Year +17.9%
3 Years +144%
5 Years +2,599%
Holdings
  • Hisse Senedi 100%

🎯 Declared Strategy

Investment objective / strategy

Fon, büyüme potansiyeli yüksek, şirketlere sermaye aktarımı, pay devri yoluyla ortaklık veya girişim şirketinin kurucusu olmayı hedeflemektedir. Fonun yatırım yapmayı hedeflediği girişim şirketlerinin faaliyet alanları şunlardır: altyapı yatırım ve hizmetleri, inşaat, gıda, sağlık, tarım, madencilik, finans, bilişim, teknoloji, ulaştırma, imalat, enerji ve benzeri yatırım hizmetleri. Fon, potansiyel görmesi durumunda, bu sektörlerin dışındaki sektörlerde de faaliyet gösteren girişim şirketlerine yatırım yapabilecektir.

📋 Profile

ISIN code TRYOYKP00120
Founder OYAK PORTFÖY YÖNETİMİ A.Ş.
Portfolio manager firm OYAK PORTFÖY YÖNETİMİ A.Ş.
Fund term Fonun süresi tasfiye dönemi dahil 9 (dokuz) yıldır.Tasfiye süresi 2 yıldır
Independent auditor GÜNEY BAĞIMSIZ DENETİM VE SERBEST MUHASEBECİ MALİ MÜŞAVİRLİK A.Ş.
Volatility (1Y) 17.1%
Max Drawdown (1Y) -0.37% (Jul 2026)

📞 Contact

ContactAYAZAĞA MAHALLESİ KEMERBURGAZ CADDESİ VADİ İSTANBUL PARK SİTESİ 7B BLOK NO:7C / 86 SARIYER / İSTANBUL
Tel(212) 319 14 00
Faks(212) 351 12 22
Authorized contacts
Tolga AKBAŞ Portföy Yöneticisi
Necdet KARACAN Portföy Yöneticisi

Fund Profile

What is the OGB fund?

OGB is a real-estate or venture-capital fund managed by Oyak Portföy. It is tracked under the code OGB, in the Girişim Sermayesi Yatırım Fonları category.

How has the OGB fund performed?

It returned 17.9% over the past year, in nominal terms. Adjusted for official inflation (TÜFE), its 1-year real return is -10.7%. Year to date it is -0.34%. Over 5 years it returned 2,599%.

What does the OGB fund hold?

Portfolio allocation: Hisse Senedi 100%.

How much withholding tax does the OGB fund carry?

Withholding is charged on the gain and ranges %0–17,5, depending on how you exit:

  • 2 yıldan az tutulursa %17.5
  • 2 yıldan çok tutulursa %0

Rates are estimates; consult your tax advisor about your own situation.

Not investment advice

The information here is for informational purposes only and is not investment advice. Past performance does not guarantee future results. Source: TEFAS.