Risk Seviyesi
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SVB aims to deliver high risk-adjusted returns on a TRY basis over the medium to long term. To achieve this objective and to enable investors with a holding period exceeding one year to benefit from the 0% withholding tax rate, a minimum of 51% of the Fund’s portfolio is invested in equities listed on Borsa Istanbul under a value investing approach. In alignment with the benchmark, the Fund’s equity allocation may range between 65% and 85%.
Investor Suitability
This fund may be suitable for investors who believe in the long-term potential of the Turkish equity market but wish to be less exposed to potential downturns. This objective is highly likely to be achieved, as the Fund invests in equities at a level close to the 70% BIST 100 Total Return Index weight in its benchmark.
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Fund Distribution
Risk Level
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