1.650545 TRY
+0.79% 1W
2026-10-06
1 Week
+0.79%
1 Month
+4.28%
3 Months
+12.72%
6 Months
+28.64%
1 Year
+64.45%
Fund Size
—
Investors
—
Category
Serbest Fon
Fiyat Grafiği
Portföy Dağılımı
Yükleniyor...
Portföydeki Hisseler
Yükleniyor...
Return Performance
1 Week
+0.79%
1 Month
+4.28%
3 Months
+12.72%
6 Months
+28.64%
1 Year
+64.45%
Fund Information
Fund CodeIIF
Fund NameİŞ PORTFÖY İSTATİSTİKSEL ARBİTRAJ SERBEST FON
CategorySerbest Fon
Management CompanyİŞ PORTFÖY
Fund Size (AUM)—
Current Price (NAV)1.650545 TRY
Price Date2026-10-06
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