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Osmanlı Yatırım Menkul Değerler A.Ş.

Osmanlı Yatırım Menkul Değerler A.Ş. (TRFOSMKE2611) is a fixed income held in Turkish (TEFAS) fund portfolios. The 18 funds below carry a position in it, per their latest KAP portfolio filings. Total disclosed position: 123M ₺ (latest filing 2026-06-30).

Top 3 funds' share
49.7% of the 123M ₺ reported total
Heaviest weighting
3.03% SKT of that fund's portfolio

Funds holding this asset

FundFounderNominalUnit costValue% of fund% of totalMaturityInterestBoughtSource
GBL AZİMUT PYŞ KISA VADELİ BORÇLANMA ARAÇLARI FONUAzimut Portföy20,000,000.00100.0021.9M ₺0.90%0.90%2026-10-1550.8%2025-10-16Filing (PDR)· 2026-06-30 KAP
KNI AZİMUT PORTFÖY İKİNCİ PARA PİYASASI SERBEST (TL) FONAzimut Portföy20,243,561.6540.5020.2M ₺0.16%0.16%2026-07-0240.5%2026-06-18Filing (PDR)· 2026-06-30 KAP
RRA ROTA PORTFÖY PARA PİYASASI SERBEST FONRota Portföy17,300,000.0018.9M ₺0.73%Filing (PDR)· 2026-06-30 KAP
RPT ROTA PORTFÖY İKİNCİ SERBEST (TL) FONRota Portföy13,900,000.0015.2M ₺1.30%Filing (PDR)· 2026-06-30 KAP
RS1 ROTA PORTFÖY BİRİNCİ KISA VADELİ SERBEST FONRota Portföy10,400,000.0011.4M ₺1.71%Filing (PDR)· 2026-06-30 KAP
SLF ROTA PORTFÖY ŞEKERBANK PARA PİYASASI (TL) FONURota Portföy10,400,000.0011.4M ₺0.72%Filing (PDR)· 2026-06-30 KAP
UPP ÜNLÜ PORTFÖY PARA PİYASASI (TL) FONUÜnlü Portföy5,000,000.005.5M ₺0.21%Filing (PDR)· 2026-06-30 KAP
RPD RE-PIE PORTFÖY BİRİNCİ DEĞİŞKEN FONRe-Pie Portföy5,000,000.00100.005.3M ₺1.64%1.81%2026-10-152025-10-16Filing (PDR)· 2026-05-31 KAP
UP2 ÜNLÜ PORTFÖY PARA PİYASASI SERBEST FONÜnlü Portföy3,000,000.003.3M ₺0.13%Filing (PDR)· 2026-06-30 KAP
SUA ÜNLÜ PORTFÖY BİRİNCİ DEĞİŞKEN FONÜnlü Portföy3,000,000.003.3M ₺0.14%Filing (PDR)· 2026-06-30 KAP
FPK FİBA PORTFÖY KISA VADELİ BORÇLANMA ARAÇLARI (TL) FONUFiba Portföy2,000,000.00100.002.2M ₺0.78%0.78%2026-10-153.82%2025-10-16Filing (PDR)· 2026-06-30 KAP
OSD OSMANLI PORTFÖY ÖZEL SEKTÖR BORÇLANMA ARAÇLARI FONUOsmanlı Portföy1,000,000.001.1M ₺0.18%Filing (PDR)· 2026-06-30 KAP
USY ÜNLÜ PORTFÖY DEĞER YATIRIMLARI SERBEST FONÜnlü Portföy1,000,000.001.1M ₺0.08%Filing (PDR)· 2026-06-30 KAP
SKT FİBA PORTFÖY ŞEKERBANK KISA VADELİ BORÇLANMA ARAÇLARI FONUFiba Portföy1,000,000.00100.001.1M ₺3.03%3.04%2026-10-153.82%2025-10-16Filing (PDR)· 2026-06-30 KAP
MPI MEKSA PORTFÖY İSTATİSTİKSEL ARBİTRAJ SERBEST (TL) FONMeksa Portföy500,000.00100.00547K ₺0.70%0.71%2026-10-1529.8%2025-10-16Filing (PDR)· 2026-06-30 KAP
OPL OSMANLI PORTFÖY İKİNCİ DEĞİŞKEN FONOsmanlı Portföy250,000.00100.00273K ₺0.59%0.60%2026-10-152025-10-16Filing (PDR)· 2026-06-30 KAP
OPF OSMANLI PORTFÖY AGRESİF DEĞİŞKEN FONOsmanlı Portföy250,000.00100.00273K ₺0.06%0.06%2026-10-152025-10-16Filing (PDR)· 2026-06-30 KAP
SPN AZİMUT PORTFÖY İSTATİSTİKSEL ARBİTRAJ HİSSE SENEDİ SERBEST FON (HİSSE SENEDİ YOĞUN FON)Azimut Portföy10,155,342.4740.50-0.56%2026-07-0240.5%2026-06-18Filing (PDR)· 2026-06-30 KAP

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