The advantages of investingin Luxembourg domiciled YapıKredi SICAV.
Invest in Turkey: A rising starwith consistent growth story.
Providing commentary and research on Turkish economy, equity & fixed income from well-respected sources including our dedicated research team. Moreover, sharing insights on fund sector developments, regulation updates, and Turkish political news driving financial markets.
Videos displaying our portfolio managers view on Turkish economy and financial markets.Click here to watch the video.
Yapı Kredi Asset Management has a dynamic-investment and team-oriented approach in conjunction with a deliberate, well-structured and highly disciplined investment process, consistently directed by the Investment Committee
Turkey maintains its attraction for domestic and foreign institutional investors. This perception is strongly supported by Turkey's demographic, geographical and economic fundamentals discussed in details.
Risk management and compliance processes are employed on behalf of the Yapı Kredi SICAV by its management company MDO ManCo. They contain the following processes and procedures established to identify, assess and monitor all the relevant sources of risk for Yapı Kredi SICAV.
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This Website Contains Information on Yapı Kredi SICAV
This fund is intended for non-US investors and therefore the information on this website is not relevant to investors resident in the US.
Yapı Kredi SICAV is an umbrella fund created under Luxembourg law. It is organized as a “société d’investissement à capital variable” under Part I of the law of 17 December 2010 on undertakings for collective investment (“the investment fund law” authorized and regulated by the Luxembourg supervisory authority. Commission de Surveillance du Secteur Financier – “CSSF”). Registered number RCS B 175425.
This product section contains information covering investment funds registered in different locations around the world. As such, access to the information contained herein may be restricted by laws and regulations applicable to the user. This information is not intended to be published or made available to any person in any jurisdiction where doing so would result in contravention of any applicable laws or regulations. In particular, certain funds can be marketed in certain jurisdictions only. The user should ensure that the use of this information and the making of any investment as a result does not contravene any such restrictions. It is the user's responsibility to be informed and to observe all applicable laws and regulations of their jurisdiction.
Neither Yapı Kredi SICAV nor anyone else involved in creating, producing or delivering the website shall be liable for any direct, indirect, incidental, special or consequential damages arising out of use of the website, an inability to use the website or out of any breach of any warranty.
The user should be aware of the risks associated with equity investment. Past performance is not indicative of future performance. Returns will fluctuate with changing market conditions, taxes, exchange rates and sales charges. Due to the increasing rate of regulatory changes and the unpredictability regarding how tax authorities divergently interpret existing laws, these companies cannot assume any liability for the effects of any particular tax issues. Independent financial advice should be taken before entering into any financial transaction.
Investment in Yapı Kredi SICAV should be made on the basis of the current legal documentation as authorized by the Luxembourg “Commission de Surveillance du Secteur Financier”. Prospectuses, KIID – Key Investor Information Documents, and (semi) annual reports can be obtained free of charge from the registered offices of Yapı Kredi SICAV.
Usage of external links
Leaving the website by using any external links and reading information that has not been published by Yapı Kredi SICAV is done at the user’s own risk. Yapı Kredi SICAV does not develop, check the accuracy of, nor review any data contained in external links. Yapı Kredi SICAV is not responsible for any damages or losses due to delays, defaults or omissions that may be present in the services, information or any other content published on this website, real, quoted or indirect. Yapı Kredi SICAV does not give any guarantee, provide any notification of, and will not be responsible for any content transmitted by electronic means to any third party including the accuracy, the topic, the quality or the appropriateness of the electronic content.
As a consequence of the regulations regarding money laundering and other relevant regulations, identification documents are requested when proceeding with an investment.
Reproduction or use of this website in part or in full by any means is strictly forbidden without the prior written consent of Yapı Kredi SICAV.
However, a user may download or print pages or parts of the YAPI KREDI SICAV website for personal use only and as long as information regarding copyright is included.
Downloading or any kind of copying of the software or information provided on the website does not entitle the user to any right and they must not reproduce, forward, modify nor use the website for public or commercial purposes. The creation of links to this website is forbidden without the prior written consent of YAPI KREDI SICAV.
Class A and Class I Shares of the Yapı Kredi SICAV Equity Turkey Fund are authorized and available in Luxembourg.
I understand the information contained within this website does not constitute an offer of or an invitation to apply for securities in any jurisdiction where such offer or invitation is unlawful or in which the person making such offer is not qualified to do so or to whom it is unlawful to make such an offer or solicitation. This website is not intended for persons subject to a jurisdiction that prohibits access to or publication of this website. The information or opinions contained herein should not be construed as an offer to sell or the solicitation of an offer to buy any investment product nor shall any investment products be offered or sold to any person in any jurisdiction in which such offer, solicitation, purchase or sale would be unlawful under local laws. A public offering of [-] can only be made in those countries where the fund is registered or authorized. I also understand [-] is not available to investors in all jurisdictions and is not available in the United States or to U.S. citizens. A decision to buy shares must be made on the basis of information contained in the current Prospectus, Key Investor Information document, the latest audited Annual Report, and the most recent Semi-Annual report. [-] is the delegated manager of the [-] Fund.
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