KDL FIFTH PARTICIPATION FREE (FOREIGN CURRENCY) FUND
Adjustment -0,22
PRICE 36,6012

DETAILS OF THE FUND

Fund codeKDL
Fund issue date01/07/2022
Purchase value dateT+1
Sale value dateT+1
Fund management fee (annual)%0,3
TEFAS
Trading Starts
Time
Clock 9 9:00
TEFAS
Trading Ends
Time
Clock 1530 15:30
TOTAL VALUE OF THE FUND 29.299.744.077
UNIT PRICE OF THE FUND 36,6012
Neither put orders nor call orders are accepted after 15:30 p.m.

FUND INVESTMENT STRATEGY

TYPE OF ASSET AND TRANSACTION MINIMUM % MAXIMUM %
Investment Wakala and participation accounts in domestic banks in foreign currency (USD).80100
Money and capital market instruments of domestic and foreign issuers.020
Committed market transactions.020
Gold and other precious metals.020

RISK SCALE

Low Risk
Potential Low Return
High Risk
Potential High Return
RISK VALUES

Risk is calculated by using weekly returns and by taking
the volatility of the funds into consideration.

Risk value is from 1 to 7, where 1 is the minimum and
7 is the maximum risk.

The risk value of fund participation shares on the basis of USD is 1 and the risk value on the basis of Turkish Lira is 7.

FUND COMPARISON CRITERIA

  • BIST-KYD 1-Month Profit Share USD Index.%100.00

FUND DOCUMENTS



ESTABLISHMENT DOCUMENTS
INDEPENDENT AUDIT REPORTS
PERFORMANCE REPORTS
ANNOUNCEMENTS AND CHANGES
FUND PORTFOLIO DISTRIBUTION REPORTS
On days when BIST Debt Securities Market is open KDL The orders transmitted on the days when the BIST Borrowing Instruments Market is closed are carried out on the basis of the share price to be found in the first calculation to be made on the first subsequent business day.
On days when BIST Debt Securities Market is open KDL The orders transmitted on the days when the BIST Borrowing Instruments Market is closed are carried out on the basis of the share price to be found in the first calculation to be made on the first subsequent business day.