Not investment advice. You are solely responsible for any decisions you make based on the information here. Data may be inaccurate or delayed. By using this site you are deemed to have accepted the user agreement.
← All items

Osmanlı Yatırım Menkul Değerler A.Ş.

Osmanlı Yatırım Menkul Değerler A.Ş. (TRFOSMK22718) is a fixed income held in Turkish (TEFAS) fund portfolios. The 7 funds below carry a position in it, per their latest KAP portfolio filings. Total disclosed position: 53.7M ₺ (latest filing 2026-06-30).

Top 3 funds' share
60.0% of the 53.7M ₺ reported total
Heaviest weighting
3.09% OKP of that fund's portfolio

Funds holding this asset

FundFounderNominalUnit costValue% of fund% of totalMaturityInterestBoughtSource
FYO QNB PORTFÖY ÖZEL SEKTÖR BORÇLANMA ARAÇLARI FONUQNB Portföy10,000,000.00100.0010.7M ₺0.67%0.67%2027-02-033.82%2026-02-04Filing (PDR)· 2026-06-30 KAP
TCB TACİRLER PORTFÖY PARA PİYASASI FONUTacirler Portföy10,000,000.00100.0010.7M ₺0.36%0.36%2027-02-0347.6%2026-02-04Filing (PDR)· 2026-06-30 KAP
RPP ROTA PORTFÖY PARA PİYASASI (TL) FONURota Portföy10,000,000.0010.7M ₺0.17%Filing (PDR)· 2026-06-30 KAP
OYL OYAK PORTFÖY BİRİNCİ PARA PİYASASI (TL) FONUOyak Portföy8,000,000.008.6M ₺0.27%Filing (PDR)· 2026-06-30 KAP
RPT ROTA PORTFÖY İKİNCİ SERBEST (TL) FONRota Portföy5,000,000.005.4M ₺0.46%Filing (PDR)· 2026-06-30 KAP
HOA HSBC PORTFÖY TEKNOLOJİ DEĞİŞKEN FONHSBC Portföy5,000,000.00100.005.4M ₺0.26%0.26%2027-02-038.96%2026-02-04Filing (PDR)· 2026-06-30 KAP
OKP OYAK PORTFÖY BİRİNCİ KISA VADELİ BORÇLANMA ARAÇLARI (TL) FONUOyak Portföy2,000,000.002.1M ₺3.09%Filing (PDR)· 2026-06-30 KAP

Related securities