KVT

Ak Asset Management Energy Companies Equity (TL) Fund (Equity Intensive Fund)

Invest in Türkiye's Energy!

  • At Akbank and All Banks
  • 0 withholding tax

Invest in Türkiye's Energy!

Ak Asset Management Energy Companies Equity Fund KVT offers a single transaction investment opportunity in selected conventional and alternative energy generation and distribution companies listed on Borsa Istanbul offers!...

Ak Asset Management Energy Companies Equity Fund allows you to invest in Türkiye's leading energy companies traded on BIST, such as Enerjisa, Zorlu Energy, Aksa Energy, and Akfen Renewable Energy.

Thus, the fund offers savings holders who want to invest in domestic energy investment themes the convenience of investing in companies selected by expert portfolio managers from their own banks, with a single transaction.

  • You can buy and sell from any bank you want.
  • You can invest in selected energy generation and distribution companies listed on Borsa Istanbul with a single transaction.
  • You do not need to open an additional investment account to invest in the fund.
  • It can be easily converted into cash.
KVT THEMATIC
6 / 7
  • 1.310800
  • %-0.27017
  • %-9.35
  • %3.03
  • %12.64
  • %10.82
  • -
  • Trend
  • Price 1.310800
  • Recommended Term 12 Month
  • Subscription Value Date
    T + 1
  • Redemption Value Date
    T + 2
  • Day %-0.27017
  • 1M %-9.35
  • 6M %3.03
  • YTD %12.64
  • 1Y %10.82
  • 2Y -
Invested Assets

Enerjisa Energy, Zorlu Energy, Aksa Energy, Akfen Renewable Energy, Naturelgaz, Enerya Energy, Ahlatçı Natural Gas Distribution Energy, Odas Electric, Cw Energy Engineering, Smart Solar Energy Technologies, Galata Wind Energy, Doğu Aras Energy Investments, Can2 Thermal, Aydem Renewable Energy, IC Enterra Renewable Energy, Alfa Solar Energy, Hun Renewable Energy Production, Tatlıpınar Energy Production, Mogan Energy Investment Holding, Naturel Renewable Energy

You can buy from all banks and intermediary institutions in Turkey.

Trend
Recommended Term
12 Month
Subscription Value Date
T + 1
Redemption Value Date
T + 2

How Can I Invest?

You can easily invest in funds traded on TEFAS from all banks.

You must be an Akbank Customer to invest in funds not traded on TEFAS and Capital Protected Funds. You can easily become an Akbank Customer without visiting a branch.

image description

Fund Identity

Fund Manager
Invested Assets
Enerjisa Energy, Zorlu Energy, Aksa Energy, Akfen Renewable Energy, Naturelgaz, Enerya Energy, Ahlatçı Natural Gas Distribution Energy, Odas Electric, Cw Energy Engineering, Smart Solar Energy Technologies, Galata Wind Energy, Doğu Aras Energy Investments, Can2 Thermal, Aydem Renewable Energy, IC Enterra Renewable Energy, Alfa Solar Energy, Hun Renewable Energy Production, Tatlıpınar Energy Production, Mogan Energy Investment Holding, Naturel Renewable Energy
Operational Info
Until 1:30 pm except on public holidays.
Risk Ranking
6 / 7
Recommended Term 12

Months

Fund Size 95.217.206,96 TL
Share Value 1.3108
Redemption Value Date T + 2
Subscription Value Date T + 1
Management Fee %2,9
Withholding Tax %0
Number of Investors 2.877
Benchmark

90% BIST Electricity Return Index (XELKT) + 10% BIST KYD (Repo) Gross Index

Asset Allocation

Current Fund Allocation Ratio

Fund Performance

Frequently Asked Questions

Turkish equity funds mainly invest in the stocks of Turkish companies traded on Borsa Istanbul. Depending on the fund’s investment strategy, they may differ on a sectoral or thematic basis. For detailed information, the TEFAS platform and the fund prospectus should be reviewed.

The allocation of Turkish equity funds is regularly published on the Ak Asset Management website and the Public Disclosure Platform (KAP). In addition, portfolio information and current data can also be monitored through TEFAS (Türkiye Electronic Fund Trading Platform).

Individual and corporate investors can invest in these funds through Akbank and all banks in Türkiye.

Turkish equity funds are sensitive to market fluctuations as their portfolios mainly consist of equities. The risk level of these funds may vary depending on the portfolio structure, investment strategy and market conditions.

Turkish equity funds are classified as Equity Intensive Funds, which invest the majority of their portfolios in equities traded on Borsa Istanbul. Earnings from these funds are taxed with a 0% withholding tax within the framework of the Income Tax Law and Capital Markets Board regulations. In other words, investors can benefit from the earnings from the fund without any withholding tax deduction.
The tax and withholding rates applicable to dividend or profit share income obtained from the funds are clearly stated in the fund prospectus. In this way, investors can transparently monitor both fund returns and tax liabilities.

The fund management fee is the fee charged over the total size in mutual funds in return for the product's management processes. It is included in the fund price daily and accrued automatically.

You can purchase it through your bank’s internet branch and mobile application.

Until 13:30, excluding public holidays.

The recommended period is 12 months.

In fund purchase-sale transactions, T (Transaction Day), the day on which the investor gives the order, is taken as the basis:
T+1 (Purchase): Fund participation shares are transferred to your account within 1 business day following the order.
T+2 (Sale) The sale amount is transferred to your account within 2 business days following the order.
These periods are general practice; exact settlement periods and foreign holiday dates may vary according to the principles specified in each fund's prospectus.

No additional commission is charged when investing in all Ak Asset Management funds traded on TEFAS through other banks. You can easily invest through the bank where your account is held, subject to the same management fee and the same trading regulations. Funds not traded on TEFAS can be invested in through Akbank and/or other institutions with which we have specific agreements for these funds.

In funds investing in equities, if the equities invested in by the fund distribute dividends, these dividend payments are reflected in the fund size; therefore, dividend payments are also reflected to fund investors in proportion to their participation share amounts.

Pursuant to provisional Article 67 of the Income Tax Law, 0% income tax withholding is applied upon the redemption of participation shares of equity intensive securities mutual funds established under the Capital Markets Law. 0% withholding tax will be applied to the income and earnings obtained from the fund, regardless of the fund’s sale date. What is management fee?
The fund management fee is the fee charged over the total size in mutual funds in return for the product's management processes. It is included in the fund price daily and accrued automatically.

Turkish equity funds mainly invest in the stocks of Turkish companies traded on Borsa Istanbul. Depending on the fund’s investment strategy, they may differ on a sectoral or thematic basis. For detailed information, the TEFAS platform and the fund prospectus should be reviewed.

The allocation of Turkish equity funds is regularly published on the Ak Asset Management website and the Public Disclosure Platform (KAP). In addition, portfolio information and current data can also be monitored through TEFAS (Türkiye Electronic Fund Trading Platform).

Individual and corporate investors can invest in these funds through Akbank and all banks in Türkiye.

Turkish equity funds are sensitive to market fluctuations as their portfolios mainly consist of equities. The risk level of these funds may vary depending on the portfolio structure, investment strategy and market conditions.

Turkish equity funds are classified as Equity Intensive Funds, which invest the majority of their portfolios in equities traded on Borsa Istanbul. Earnings from these funds are taxed with a 0% withholding tax within the framework of the Income Tax Law and Capital Markets Board regulations. In other words, investors can benefit from the earnings from the fund without any withholding tax deduction.
The tax and withholding rates applicable to dividend or profit share income obtained from the funds are clearly stated in the fund prospectus. In this way, investors can transparently monitor both fund returns and tax liabilities.

The fund management fee is the fee charged over the total size in mutual funds in return for the product's management processes. It is included in the fund price daily and accrued automatically.

You can purchase it through your bank’s internet branch and mobile application.

Until 13:30, excluding public holidays.

The recommended period is 12 months.

In fund purchase-sale transactions, T (Transaction Day), the day on which the investor gives the order, is taken as the basis:
T+1 (Purchase): Fund participation shares are transferred to your account within 1 business day following the order.
T+2 (Sale) The sale amount is transferred to your account within 2 business days following the order.
These periods are general practice; exact settlement periods and foreign holiday dates may vary according to the principles specified in each fund's prospectus.

No additional commission is charged when investing in all Ak Asset Management funds traded on TEFAS through other banks. You can easily invest through the bank where your account is held, subject to the same management fee and the same trading regulations. Funds not traded on TEFAS can be invested in through Akbank and/or other institutions with which we have specific agreements for these funds.

In funds investing in equities, if the equities invested in by the fund distribute dividends, these dividend payments are reflected in the fund size; therefore, dividend payments are also reflected to fund investors in proportion to their participation share amounts.

Pursuant to provisional Article 67 of the Income Tax Law, 0% income tax withholding is applied upon the redemption of participation shares of equity intensive securities mutual funds established under the Capital Markets Law. 0% withholding tax will be applied to the income and earnings obtained from the fund, regardless of the fund’s sale date. What is management fee?
The fund management fee is the fee charged over the total size in mutual funds in return for the product's management processes. It is included in the fund price daily and accrued automatically.

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