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OPI OSMANLI PORTFÖY KAR PAYI ÖDEYEN HİSSE SENEDİ (TL) FONU (HİSSE SENEDİ YOĞUN FON) OSMANLI PORTFÖY YÖNETİMİ A.Ş.

Hisse Senedi Yoğun Risk 6/7
 
 
 
-2.86% past month
Summary

OPI primarily holds hisse senedi and is a high-risk fund (6/7). Over the past year it returned 24.9%; 5.48% below official inflation. With an annual 2.50% management fee, it trades in the Hisse Senedi Fonu category. Launched in 2020, it manages 221M ₺ in assets across 1,564 investors. (Average position: ~141K ₺)

Risk 6/7
NOMINAL RETURN · 1Y
+24.9%
CPI 32.1%
USD 16.8%

Real -5.48% (after inflation), compared with TÜİK-CPI (32.1%).

Fund Size
221M ₺
Total portfolio value
Net Flow
-3.9M ₺
monthly net in/out
Management Fee
2.50%
Charged from the fund whether you gain or lose.
Max Expense Ratio
3.65%
Annual cap for all expenses.
Withholding
0.00%
Estimated; charged only on the gain.
HS96.7%
  • Hisse Senedi 96.7%
  • Takasbank Para Piyasası 1.77%
  • BYF Katılma Payı 1.52%
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 -2.86%
3 Months -2.04%
6 Months +6.12%
YTD +19.4%
1 Year +24.9%
3 Years +116%
5 Years +1,101%
Holdings
  • Hisse Senedi 96.7%
  • Takasbank Para Piyasası 1.77%
  • BYF Katılma Payı 1.52%

🎯 Declared Strategy

Comparison benchmark: BİST 100 (Getiri) endeksi
Derivatives principles

Portföye riskten korunma ve/veya yatırım amacıyla fonun türüne ve stratejisine uygun olacak şekilde türev araçlar dahil edilir.

📋 Profile

ISIN code TRYOSMP00086
Founder OSMANLI PORTFÖY YÖNETİMİ A.Ş.
Umbrella fund OSMANLI PORTFÖY YÖNETİMİ A.Ş. HİSSE SENEDİ ŞEMSİYE FONU
Umbrella type HİSSE SENEDİ ŞEMSİYE FONU
Portfolio manager firm OSMANLI PORTFÖY YÖNETİMİ A.Ş.
Inception date 2020-01-09
Fund term Süresiz
Independent auditor PKF ADAY BAĞIMSIZ DENETİM A.Ş.
Risk value 6
Volatility (1Y) 21.2%
Max Drawdown (1Y) -11.6% (Apr 2026)

⏱️ Settlement & Trading

Buy settlement T+1
Sell settlement T+2
Trading venues Osmanlı Yatırım Menkul Değerler A.Ş., Türkiye Elektronik Fon Dağıtım Platformu

👤 Fund managers

Adem DEMİRAL Fund manager Experience: 21 yr Appointed: 2002-01-01
Mehmet Gerz Portfolio manager Experience: 30 yr Appointed: 2025-06-18
SPL3- Türev Araçlar
Last 5 years: 2009-2025 Ata Portföy Yönetimi, Genel Müdür ve YK Üyesi, Fon Yöneticisi 2025-....Osmanlı Portföy Yönetimi Genel Müdür ve YK Başkanı

📞 Contact

ContactMaslak Mahallesi, Büyükdere Caddesi No: 255/802 Nurol Plaza Sarıyer İstanbul
Tel02123668888
Faks02123284070
Authorized contacts
Mehmet Taylan TATLISU Portföy Yöneticisi

Fund Profile

What is the OPI fund?

OPI is a mutual fund managed by Osmanlı Portföy. It trades on TEFAS under the code OPI, in the Hisse Senedi Yoğun category.

How has the OPI fund performed?

It returned 24.9% over the past year, in nominal terms. Adjusted for official inflation (TÜFE), its 1-year real return is -5.48%. Year to date it is 19.4%. Over 5 years it returned 1,101%.

What does the OPI fund hold?

Portfolio allocation: Hisse Senedi 96.7%, Takasbank Para Piyasası 1.77%, BYF Katılma Payı 1.52%.

Its largest positions, per the KAP portfolio report dated 30 June 2026: BİM BIRLEŞIK MAĞZALAR A.Ş. (6.25%), COCA-COLA İÇECEK A.Ş. (5.61%), MIGROS TICARET A.Ş. (4.85%).

What does the OPI fund cost?

The annual management fee is 2.50%. Its total expense ratio is 3.65%.

How much withholding tax does the OPI fund carry?

The estimated withholding rate on gains is 0.00%.

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.