ACCORDING TO THE RETURN & LATEST PRICES

It is important to compare funds based on investment returns. But most important looking at the long-term returns is to make the comparison. If the investment funds yields between the two dates with the daily, monthly, quarterly, 6 monthly, yearly Since the beginning of the year at a time and can not see the earnings yield, easier to compare funds make it easier for you to decide.


Between
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  • Date Between Returns
  • Annual Basis Returns
  • Alternatives
 
FundsLast PriceChangeDailyMonth3 Months6 MonthsYTD1 Year3 Yıl
Tacirler Securities Type A Mixed Mutual Fund 1.7711054.530.484.7512.8413.109.9125.7468.78
Istanbul Portfolio Is Investment B Type Variable Fund 0.0206711.91-0.022.575.969.523.7216.4446.96
Akbank B Type Certificates Investment Umbrella Fund Charter Makes Second Sub Fund 0.0141331.39-0.011.663.354.192.488.9130.89
Unlu Securities Type B Variable Mutual Fund 0.0289661.270.061.757.92-10.982.38-10.4411.97
Ergoisvicre Insurance Type B Variable Mutual Fund 0.0384651.24-0.171.896.235.993.1715.3116.83
Meksa Securities Type A Variable Mutual Fund 0.0789651.200.161.213.435.722.8516.9445.11
ING Securities Type B Variable Mutual Fund 0.0181141.170.131.523.626.102.1411.8628.91
YKB B Type Umbrella Fund that invests in Seventeenth Connected Rent Certification Sub Fund 0.0128351.020.021.292.854.791.769.0622.79
Ak Asset Pye Private Sector Debt Instruments Special Fund 0.0168111.010.051.414.248.002.2215.7046.92
TEB Type B Stars Banking Variable Fund 0.0367840.990.041.434.126.002.1810.0229.29
Oyak Securities Type B T.Bill and Bond Mutual Fund 0.0169880.990.041.373.957.532.1214.4140.29
Sardes Portfolio Is Investment Yield B Type Variable Fund 0.0160060.980.041.435.558.542.227.5934.31
Yapi Kredi Securities Type A Private Asset Management Variable Mutual Fund 0.1993000.930.62-3.85-5.644.30-3.413.8362.89
Acar Securities Type A Mixed Mutual Fund 0.0301470.91-0.181.357.202.782.5211.2113.10
Is Bank Private Asset Management Asset Type B Umbrella Fund Linked Variable Sub Fund 0.0185770.910.041.263.935.771.9712.1939.08
Is Securities Type B Istanbul Portfolio Liquid Mutual Fund 0.0202630.900.041.293.607.061.9513.8641.49
Ak Asset Fund Medium-Term Debt Instruments 0.0331400.890.011.453.835.702.0011.0132.04
TEB Type B Asset Management Service Variable Mutual Fund 1.3936390.89-0.180.664.475.651.4711.9933.32
Halk Bank Type B T.Bill and Bond Mutual Fund 57.2526900.88-0.031.393.144.601.878.8623.23
Is Bank Type B 3rd Sector T.Bill and Bond Mutual Fund 0.0483940.880.041.243.716.781.9112.7936.22
Finans Securities Type A Mixed Mutual Fund 0.1461950.860.041.073.877.131.7411.3932.78
Gedik Securities Type A Kronos Alpha Variable Mutual Fund 0.0123990.850.041.213.426.661.8912.8835.76
Halkbank Type B Short Term Bond Fund 72.6511220.850.041.213.266.441.8212.3434.21
Kare Securities Type B Bonds and Bond Fund 0.0171710.85-0.081.103.897.062.0614.6641.94
Ziraat Securities Type B T.Bill and Bond Mutual Fund 215.9342960.840.041.223.376.671.8712.8633.12
[1-25] [Σ 476]

Remarks:  Changes are expressed as % , N/A-Not Available (No data or Not Yet Established), your funds in portfolio are marked in different colors.
 
Funds20092010201120072013YTD
Tacirler Securities Type A Mixed Mutual Fund 39.0112.29-8.199.56-7.339.91
Akbank Franklin Templeton BRIC Mutual Fund   -11.67-3.0911.446.74
YKB Type A Umbrella Fund Global Technology Foreign Securities Sixth Affiliated Sub Fund 28.1911.3912.159.8219.615.85
Unlu Securities Type A Variable Mutual Fund 67.6921.14-10.0810.54-9.784.89
Gedik A Type Small and Medium Enterprises Equity Fund Intensive 11.595.263.1810.895.724.59
Istanbul Portfolio Is Investment B Type Variable Fund   0.5310.526.333.72
Ergoisvicre Insurance Type B Variable Mutual Fund 15.655.300.389.91-3.513.17
Gedik Securities Type A Mixed Mutual Fund 41.2510.74-2.7216.535.732.99
Fibabank B Type Gold Fund      2.92
Global Securities Type A The Future of My Child Equity Mutual Fund   -25.7823.54-8.972.90
Seker Securities Type B Gold Fund  24.6128.53-4.47-14.422.87
Ziraat Bank B Type Gold Third Sub Fund Under an Umbrella Fund   31.88-4.20-15.382.85
Meksa Securities Type A Variable Mutual Fund 34.060.27-37.4431.405.262.85
Is Bank Type B Gold Mutual Fund    -3.56-14.932.83
Denizbank Type B Gold Mutual Fund   31.43-3.35-15.592.75
TEB Type B Gold Fund 22.1528.7033.93-2.73-15.422.74
Vakifbank Type B Gold Fund 33.5326.1030.41-4.00-15.452.73
Ak Asset Gold Fund 19.3827.0830.53-3.52-15.102.73
Yapi Kredi Bank Type B Gold Mutual Fund   32.03-2.06-14.882.73
Garanti Bank Type B Gold Mutual Fund 23.1029.5433.13-2.31-15.702.71
HSBC Securities Type B Gold Fund 18.3829.1632.49-2.22-15.152.68
ING Bank Type B Gold Mutual Fund    -2.76-14.192.64
Acar Securities Type A Mixed Mutual Fund 10.627.48-3.8218.053.922.52
Is Securities Type B Variable Mutual Fund 13.176.171.8210.883.392.50
Seker Securities Type A Mixed Mutual Fund 12.144.17-8.36-1.760.142.49
[1-25] [Σ 476]

Remarks:  Changes are expressed as % , N/A-Not Available (No data or Not Yet Established), your funds in portfolio are marked in different colors.
 
Select Criteria










FundsChangeDailyYTDMonth3 Months6 Months1 Year
Tacirler Securities Type A Mixed Mutual Fund 4.530.482.294.7512.8413.1025.74
Istanbul Portfolio Is Investment B Type Variable Fund 1.91-0.020.282.575.969.5216.44
Akbank B Type Certificates Investment Umbrella Fund Charter Makes Second Sub Fund 1.39-0.010.681.663.354.198.91
Unlu Securities Type B Variable Mutual Fund 1.270.060.401.757.92-10.98-10.44
Ergoisvicre Insurance Type B Variable Mutual Fund 1.24-0.170.211.896.235.9915.31
Meksa Securities Type A Variable Mutual Fund 1.200.160.451.213.435.7216.94
ING Securities Type B Variable Mutual Fund 1.170.130.441.523.626.1011.86
YKB B Type Umbrella Fund that invests in Seventeenth Connected Rent Certification Sub Fund 1.020.020.521.292.854.799.06
Ak Asset Pye Private Sector Debt Instruments Special Fund 1.010.050.301.414.248.0015.70
TEB Type B Stars Banking Variable Fund 0.990.040.251.434.126.0010.02
Oyak Securities Type B T.Bill and Bond Mutual Fund 0.990.040.301.373.957.5314.41
Sardes Portfolio Is Investment Yield B Type Variable Fund 0.980.040.291.435.558.547.59
Yapi Kredi Securities Type A Private Asset Management Variable Mutual Fund 0.930.62-0.69-3.85-5.644.303.83
Acar Securities Type A Mixed Mutual Fund 0.91-0.181.401.357.202.7811.21
Is Bank Private Asset Management Asset Type B Umbrella Fund Linked Variable Sub Fund 0.910.040.271.263.935.7712.19
Is Securities Type B Istanbul Portfolio Liquid Mutual Fund 0.900.040.281.293.607.0613.86
Ak Asset Fund Medium-Term Debt Instruments 0.890.010.281.453.835.7011.01
TEB Type B Asset Management Service Variable Mutual Fund 0.89-0.180.230.664.475.6511.99
Halk Bank Type B T.Bill and Bond Mutual Fund 0.88-0.030.451.393.144.608.86
Is Bank Type B 3rd Sector T.Bill and Bond Mutual Fund 0.880.040.251.243.716.7812.79
Finans Securities Type A Mixed Mutual Fund 0.860.040.261.073.877.1311.39
Gedik Securities Type A Kronos Alpha Variable Mutual Fund 0.850.040.231.213.426.6612.88
Halkbank Type B Short Term Bond Fund 0.850.040.251.213.266.4412.34
Kare Securities Type B Bonds and Bond Fund 0.85-0.080.221.103.897.0614.66
Ziraat Securities Type B T.Bill and Bond Mutual Fund 0.840.040.251.223.376.6712.86
[1-25] [Σ 476]

Remarks:  Changes are expressed as % , N/A-Not Available (No data or Not Yet Established), your funds in portfolio are marked in different colors.

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