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YAPI VE KREDİ BANKASI A.Ş.

YAPI VE KREDİ BANKASI A.Ş. (XS2741069996) is a fixed income held in Turkish (TEFAS) fund portfolios. The 13 funds below carry a position in it, per their latest KAP portfolio filings. Total disclosed position: 3.1B ₺ (latest filing 2026-06-30).

Top 3 funds' share
74.6% of the 3.1B ₺ reported total
Heaviest weighting
7.18% YNK of that fund's portfolio

Funds holding this asset

FundFounderNominalUnit costValue% of fund% of totalMaturityInterestBoughtSource
YNK YAPI KREDİ PORTFÖY NİŞANTAŞI KAR PAYI ÖDEYEN SERBEST (DÖVİZ) FONYapı Kredi Portföy27,418,000.001.4B ₺7.18%Filing (PDR)· 2026-06-30 KAP
DZM DENİZ PORTFÖY BEŞİNCİ SERBEST (DÖVİZ) FONDeniz Portföy11,933,000.00106.48600M ₺4.24%4.22%2034-01-172.59%2026-06-25Filing (PDR)· 2026-06-30 KAP
IUV İŞ PORTFÖY BEŞİNCİ SERBEST (DÖVİZ) FONİş Portföy6,900,000.00109.22347M ₺1.39%1.37%2034-01-178.60%2026-05-05Filing (PDR)· 2026-06-30 KAP
IUF İŞ PORTFÖY YEDİNCİ SERBEST (DÖVİZ-AVRO) FONİş Portföy5,000,000.00106.09252M ₺1.16%1.18%2034-01-178.60%2025-08-06Filing (PDR)· 2026-06-30 KAP
YBR İŞ PORTFÖY YİRMİBİRİNCİ SERBEST (DÖVİZ) FONİş Portföy3,667,000.00110.17184M ₺3.25%3.27%2034-01-178.60%2025-12-10Filing (PDR)· 2026-06-30 KAP
FJZ FİBA PORTFÖY FIRTINA SERBEST (DÖVİZ) FONFiba Portföy2,500,000.00105.30126M ₺7.16%7.07%2034-01-172025-05-22Filing (PDR)· 2026-06-30 KAP
GPC GARANTİ PORTFÖY İKİNCİ SERBEST ( DÖVİZ ) FONGaranti Portföy2,200,000.00100.76111M ₺1.65%2034-01-172025-04-11Filing (PDR)· 2026-06-30 KAP
YPL YAPI KREDİ PORTFÖY BALAT SERBEST (DÖVİZ) FONYapı Kredi Portföy1,177,000.0059.2M ₺0.43%Filing (PDR)· 2026-06-30 KAP
FPE FİBA PORTFÖY EUROBOND BORÇLANMA ARAÇLARI (DÖVİZ) FONUFiba Portföy400,000.00100.0520.1M ₺6.02%6.05%2034-01-17113%2025-01-23Filing (PDR)· 2026-06-30 KAP
SPE AZIMUT PORTFÖY 5.0 SERBEST (DÖVIZ) FONAzimut Portföy330,000.00101.4716.6M ₺0.41%0.38%2034-01-178.60%2025-09-12Filing (PDR)· 2026-06-30 KAP
MPN AKTİF PORTFÖY İKİNCİ AKTİF SERBEST (DÖVİZ) FONAktif Portföy200,000.00100.0510.1M ₺2.75%2.74%2034-01-179.24%2024-01-17Filing (PDR)· 2026-06-30 KAP
DBH DENİZ PORTFÖY EUROBOND (DÖVİZ) BORÇLANMA ARAÇLARI FONUDeniz Portföy200,000.00107.8210.1M ₺0.98%1.00%2034-01-172.55%2026-02-19Filing (PDR)· 2026-06-30 KAP
YOA YAPI KREDİ PORTFÖY PY BORÇLANMA ARAÇLARI (DÖVİZ) ÖZEL FONUYapı Kredi Portföy80,000.004.0M ₺0.21%Filing (PDR)· 2026-06-30 KAP

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