Rota Portfolio Agricultural Technologies Venture Capital Investment Fund
As part of our R&D company responsibilities, we continue to offer Rota Portfolio Real Estate Investment Fund options to investors!
As part of our R&D company responsibilities, we continue to offer Rota Portfolio Real Estate Investment Fund options to investors!
Fund Information
Asset Allocation (%)
- Girişim Sermayesi Yatırımları %100
Fund Return Graphs (%)
Summary Information
Fund Strategy
As part of the Fund's investment strategy, it aims to become a partner in, through capital transfer or share transfer, joint-stock and limited liability companies that need to strengthen their financial structure, and which have high growth potential and need to strengthen their financial structure. These companies operate primarily in the agricultural sector, including those involved in production, input supply, service provision, floriculture, greenhouse farming, plant production, distribution, import and export of agricultural products, as well as those operating in the fields of agricultural software, artificial intelligence technologies in agriculture and related sectors, and which transform conventional business models with new technologies, and which aim to obtain more products with less input use through agricultural-based industrial activities, next-generation technologies, smart farming technologies and digital farming technologies. The Fund also aims to provide these companies with financing in the form of a mix of debt and equity financing and/or to become the founder of venture companies.
Fund Benchmark
| Comparison Criterion | Ratio of the Benchmark (%) |
|---|---|
| This is detailed in the Export Document. | %0 |
Fund Information Table
- Fund Code
- GRN
- Fund Share Price
- ₺1093,134627
- Total Value
- ₺382.815.746,25
- Date of Establishment
- 26.12.2024
- Management Fee Annual
- % 0,40
- Fund Type
- Venture Capital Investment Fund
- ISIN
- TRYROTP00596
Principles of Buying and Selling
Purchase orders for fund units will be executed on the following dates: (i) every business day for 60 days following the issuance date of fund units, (ii) until the 15th of each month for 10 months after the 60-day period following the issuance date of fund units, and (iii) on the 15th of March, June, September, and December for two years following the first year. These orders will be executed on the business day following the price calculation date. If these dates fall on a holiday, the following business day will be used. Since fund units can only be returned to the Fund at the end of the Fund's term, except in cases of liquidation, early distribution, and changes to investor information documents that may affect investment decisions, sale orders on behalf of investors will be created by the Founder.
Fund Documents
All information, comments, and assessments on these pages have been prepared by Rota Portfolio for the purpose of informing investors without any financial gain. This information, which is in no way intended to be directive, should not be considered as investment advice by investors and should not be used as a basis for investment decisions. All information, assessments, comments, and statistical figures and values in this report have been compiled from sources believed to be reliable and reflecting current market conditions as of the date of preparation. The opinions, information, and data presented in this report aim to assist investors in making their own investment decisions and do not constitute an offer and/or commitment to buy or sell any security. There is no connection between the investment decisions of investors and the opinions, information, and data presented in this report, and Rota Portfolio or its employees are not liable for any direct and/or indirect damages arising from the use of the information, assessments, comments, and statistical figures and evaluations contained herein. The comments and recommendations in this report are based on the personal opinions of those making the comments and recommendations. These opinions may not be suitable for your financial situation and your risk and return preferences. Therefore, investment decisions based solely on the information presented here may not yield the results you expect. Past performance should not be considered an indicator or guarantee of future performance.
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