Yapı Kredi̇ Portfolio SYS Fund
Yapı Kredi̇ Portföy Şubat 2028 Kar Payı Ödeyen Serbest (Dövi̇z) Fon
| SYS Price | 45.2425 |
Market Cap | 1.63B |
| Number of Investors | 123 |
Available Supply | 36.09M |
| Yearly Management Fee | 0.30% |
Tax Withholding | 17.5% |
| Risk Value | 0 |
Category | Dividend Payer |
| Portfolio Management Company | Yapı Kredi̇ Portfolio |
Traded on TEFAS | |
| Umbrella | Hedge |
Market Cap Rank | 524 |
Yapı Kredi̇ Portföy Şubat 2028 Kar Payı Ödeyen Serbest (Dövi̇z) Fon (SYS) is a "Serbest" umbrella fund issued by Yapı Kredi̇ Asset Management.
Its category is Dividend Payer and it is close for trading on TEFAS.
SYS, which decreased by 0.27% compared to the previous business day, ranks at number 46 among the other 54 Dividend Payer funds on a daily basis.
SYS is also at rank 34 with a 0.37% decrease on a monthly basis.
Compared to the previous day, the total value of the fund decreased by ₺4.5M, while the number of investors remained the same.
Yapı Kredi̇ Portföy Şubat 2028 Kar Payı Ödeyen Serbest (Dövi̇z) Fon (SYS), in last one year, had a return of %-17.29 compared to US Dollar, %-21.95 compared to Euro, %-32.59 compared to Bist100 and %-63.56 compared to Gold.
SYS Fund Returns
| Daily |
Weekly |
Monthly |
3 Mo |
6 Mo |
YTD |
Yearly |
| %-0.27 |
%-0.06 |
%-0.37 |
%2.31 |
%6.99 |
%2.32 |
%0.00 |
SYS Fund Investor Growth Chart
SYS Fund Market Cap Chart
SYS Fund Portfolio Allocation
Yield Comparison (1000 TL)
SYS Fund Comments
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