Rota Portföy Connected Healthcare Solutions GSYF
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 (%)
- Investment Fund Participation Units %100
Fund Return Graphs (%)
Summary Information
Fund Strategy
The fund aims to become a partner in joint-stock and limited liability companies with high growth potential that need to strengthen their financial structure, through capital transfer or share transfer, and/or to provide them with structured financing in the form of a mix of debt and equity financing, and/or to establish venture companies. It may also make direct investments in organizations established abroad for collective investment purposes, with the aim of making capital investments in venture companies as defined in the Communiqué.
Fund Benchmark
| Comparison Criterion | Ratio of the Benchmark (%) |
|---|---|
| - | %0 |
Fund Information Table
- Fund Code
- RCH
- Fund Share Price
- ₺965,376435
- Total Value
- ₺111.018,29
- Date of Establishment
- 19.08.2025
- Management Fee Annual
- % 0,00
- Fund Type
- Venture Capital Investment Fund
- ISIN
- TRYROTP00729
Principles of Buying and Selling
The 15-day period starting from the sales commencement date specified in the issuance document is designated as the Fund Commitment and Initial Demand Collection Period. During this period, investor orders to purchase participation units will be executed on the first business day following the last day of the 15-day period. A and B group units will be executed at a value of 1,000 TL per unit, while C group unit units will be executed at a value equivalent to 1,000 TL in USD, calculated based on the US dollar exchange rate determined by the Central Bank of Turkey (TCMB) on the previous business day. Investors may participate in the Fund by placing orders to purchase participation units or committing to fund funding on every business day for 60 days following the issuance date, on the 15th of each month for the following 10 months, and on the 15th of March, June, September, and December for the two years following the first year. After this period, no further orders to purchase participation units or commit to fund funding will be accepted, except in cases defined in the investor agreement.
Fund Documents
How do I invest?
You can easily invest in funds traded on TEFAS from all banks.
For investments in funds not traded on TEFAS and Principal Protected Funds, you can receive Professional Portfolio Management Services.