Not investment advice. You are solely responsible for any decisions you make based on the information here. Data may be inaccurate or delayed. By using this site you are deemed to have accepted the user agreement.
← All items

GARANTI BANKASI A.Ş.

GARANTI BANKASI A.Ş. (XS3205715611) is a fixed income held in Turkish (TEFAS) fund portfolios. The 14 funds below carry a position in it, per their latest KAP portfolio filings. Total disclosed position: 4.2B ₺ (latest filing 2026-06-30).

Top 3 funds' share
55.2% of the 4.2B ₺ reported total
Heaviest weighting
8.31% YBR of that fund's portfolio

Funds holding this asset

FundFounderNominalUnit costValue% of fund% of totalMaturityInterestBoughtSource
IUV İŞ PORTFÖY BEŞİNCİ SERBEST (DÖVİZ) FONİş Portföy21,400,000.00101.291.0B ₺4.03%3.97%2036-04-157.02%2026-06-26Filing (PDR)· 2026-06-30 KAP
DPB DENİZ PORTFÖY SERBEST (DÖVİZ) FONDeniz Portföy15,250,000.00103.87718M ₺5.09%5.12%2036-04-152.20%2026-05-21Filing (PDR)· 2026-06-30 KAP
DZM DENİZ PORTFÖY BEŞİNCİ SERBEST (DÖVİZ) FONDeniz Portföy12,446,000.00103.85586M ₺4.14%4.12%2036-04-153.93%2026-06-12Filing (PDR)· 2026-06-30 KAP
YPL YAPI KREDİ PORTFÖY BALAT SERBEST (DÖVİZ) FONYapı Kredi Portföy11,415,000.00538M ₺3.94%Filing (PDR)· 2026-06-30 KAP
YBR İŞ PORTFÖY YİRMİBİRİNCİ SERBEST (DÖVİZ) FONİş Portföy10,000,000.00100.69471M ₺8.31%8.35%2036-04-157.02%2026-06-30Filing (PDR)· 2026-06-30 KAP
YNK YAPI KREDİ PORTFÖY NİŞANTAŞI KAR PAYI ÖDEYEN SERBEST (DÖVİZ) FONYapı Kredi Portföy7,000,000.00330M ₺1.72%Filing (PDR)· 2026-06-30 KAP
YBE YAPI KREDİ PORTFÖY EUROBOND (DOLAR) BORÇLANMA ARAÇLARI FONUYapı Kredi Portföy5,800,000.00273M ₺5.31%Filing (PDR)· 2026-06-30 KAP
SPE AZIMUT PORTFÖY 5.0 SERBEST (DÖVIZ) FONAzimut Portföy1,210,000.00100.0357.0M ₺1.42%1.32%2036-04-157.02%2026-02-19Filing (PDR)· 2026-06-30 KAP
GPC GARANTİ PORTFÖY İKİNCİ SERBEST ( DÖVİZ ) FONGaranti Portföy1,000,000.00100.0047.1M ₺0.70%2036-04-152025-10-15Filing (PDR)· 2026-06-30 KAP
AKE AK PORTFÖY EUROBOND (AMERİKAN DOLARI) BORÇLANMA ARAÇLARI FONUAk Portföy1,000,000.00103.4047.1M ₺4.55%4.56%2036-04-152.00%2026-01-29Filing (PDR)· 2026-06-30 KAP
YOA YAPI KREDİ PORTFÖY PY BORÇLANMA ARAÇLARI (DÖVİZ) ÖZEL FONUYapı Kredi Portföy800,000.0037.7M ₺2.00%Filing (PDR)· 2026-06-30 KAP
DBH DENİZ PORTFÖY EUROBOND (DÖVİZ) BORÇLANMA ARAÇLARI FONUDeniz Portföy800,000.00100.0037.7M ₺3.69%3.73%2036-04-152.12%2026-06-08Filing (PDR)· 2026-06-30 KAP
FUB QNB PORTFÖY EUROBOND (DÖVİZ) BORÇLANMA ARAÇLARI FONUQNB Portföy550,000.00103.2825.9M ₺2.45%2.43%2036-04-152.22%2026-01-21Filing (PDR)· 2026-06-30 KAP
MPN AKTİF PORTFÖY İKİNCİ AKTİF SERBEST (DÖVİZ) FONAktif Portföy200,000.00100.059.4M ₺2.58%2.56%2036-04-152.11%2025-11-28Filing (PDR)· 2026-06-30 KAP

Related securities