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PIS PARDUS PORTFÖY İKİNCİ KISA VADELİ SERBEST (TL) FON PARDUS PORTFÖY YÖNETİMİ A.Ş.

Serbest Risk 1/7
 
 
 
+3.51% past month
Summary

PIS primarily holds mevduat (tl) and is a low-risk fund (1/7). With an annual 1.00% management fee, it trades in the Serbest Fon category. Launched in 2025, it manages 1.1B ₺ in assets across 214 investors. (Average position: ~5.0M ₺)

Risk 1/7
Fund Size
1.1B ₺
Total portfolio value
Net Flow
+109M ₺
monthly net in/out
Management Fee
1.00%
Charged from the fund whether you gain or lose.
Max Expense Ratio
no data
Annual cap for all expenses.
Withholding
17.5%
Estimated; charged only on the gain.
Mevduat (TL)61.3%BİPP28.1%FB8.66%
  • Mevduat (TL) 61.3%
  • Borsa İstanbul Para Piyasası 28.1%
  • Finansman Bonosu 8.66%
  • Takasbank Para Piyasası 0.97%
  • Devlet Tahvili 0.94%
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 +3.51%
3 Months +11.5%
6 Months +24.1%
YTD +27.6%
Holdings
  • Mevduat (TL) 61.3%
  • Borsa İstanbul Para Piyasası 28.1%
  • Finansman Bonosu 8.66%

🎯 Declared Strategy

Comparison benchmark: BIST-KYD 1 Aylık Mevduat TL Endeksi
Investment objective / strategy

Fon'un yatırım stratejisi: Fon makroekonomik veriler, istatistiksel ve diğer analizlerle oluşacak piyasa beklentileri doğrultusunda sadece TL cinsi finansal varlıklara yatırım yaparak portföy değerini artırıp, Türk Lirası bazında mutlak getiri yaratmayı hedeflemektedir. Fon portföyünün tamamı devamlı olarak, likiditesi yüksek para ve sermaye piyasası araçlarından oluşacak ve fon portföyünün aylık ağırlıklı ortalama vadesi en az 25, en fazla 90 gün olacaktır. Fon portföyüne vadeye kalan gün sayısı hesaplanamayan varlıklar dahil edilmez. Fon portföyüne sadece TL cinsi varlıklar ve işlemler dahil edilecektir.

Derivatives principles

Fon portföyündeki kaldıraç yaratan bütün işlemler nedeniyle maruz kalınan pozisyon tutarı fon toplam değerinin %1000'ini aşamaz.

📋 Profile

ISIN code TRYA1PY00784
Founder PARDUS PORTFÖY YÖNETİMİ A.Ş.
Umbrella fund PARDUS PORTFÖY YÖNETİMİ A.Ş.SERBEST ŞEMSİYE FON
Umbrella type SERBEST ŞEMSİYE FON
Portfolio manager firm PARDUS PORTFÖY YÖNETİMİ AŞ
Inception date 2025-10-13
Fund term SÜRESİZ
Independent auditor PKF ADAY BAĞIMSIZ DENETİM A.Ş.
Risk value 1

⏱️ Settlement & Trading

Buy settlement T+0
Sell settlement T+0

👤 Fund managers

KADİR AYGÜN Fund manager Experience: 30 yr
Düzey 3- Türev Araçlar
FURKAN AÇAR Portfolio manager Experience: 5 yr
Düzey 3 - Türev Araçlar
Last 5 years: A1 Capital Yatırım Menkul Değerler AŞ - Pardus Portföy Yönetim A.Ş.

📞 Contact

ContactEsentepe Mah. Büyükdere Cd. Levent Plaza Blok No: 173 İç Kapı No: 17 Şişli/İstanbul
Tel0212 371 18 05
Faks0212 371 18 01

Fund Profile

What is the PIS fund?

PIS is a mutual fund managed by Pardus Portföy. It trades on TEFAS under the code PIS, in the Serbest category.

How has the PIS fund performed?

Year to date it is 27.6%.

What does the PIS fund hold?

Portfolio allocation: Mevduat (TL) 61.3%, Borsa İstanbul Para Piyasası 28.1%, Finansman Bonosu 8.66%.

Its largest positions, per the KAP portfolio report dated 30 June 2026: BPP (30.0%), TÜRKİYE VAKIFLAR BANKASI T.A.O. (26.9%), QNB BANK A.Ş. (17.8%).

What does the PIS fund cost?

The annual management fee is 1.00%.

How much withholding tax does the PIS 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

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