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YAY
YAPI KREDİ PORTFÖY YABANCI TEKNOLOJİ SEKTÖRÜ HİSSE SENEDİ FONU
Hisse Senedi FonuYAPI KREDİ PORTFÖY
2040.772176 TRY
+2.89% 1W
2026-10-06
1 Week
+2.89%
1 Month
+12.55%
3 Months
+13.14%
6 Months
+51.24%
1 Year
+69.87%
Fund Size
—
Investors
—
Category
Hisse Senedi Fonu
Fiyat Grafiği
Portföy Dağılımı
Yükleniyor...
Portföydeki Hisseler
Yükleniyor...
Return Performance
1 Week
+2.89%
1 Month
+12.55%
3 Months
+13.14%
6 Months
+51.24%
1 Year
+69.87%
Fund Information
Fund CodeYAY
Fund NameYAPI KREDİ PORTFÖY YABANCI TEKNOLOJİ SEKTÖRÜ HİSSE SENEDİ FONU
CategoryHisse Senedi Fonu
Management CompanyYAPI KREDİ PORTFÖY
Fund Size (AUM)—
Current Price (NAV)2040.772176 TRY
Price Date2026-10-06
This page does not constitute investment advice. All information is for educational and analysis purposes. TEFAS data is for informational purposes.