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APT vs IKV Fund Comparison

Price, period returns, size, investor count and risk score of APT (Ak Portföy Orta Vadeli Borçlanma Araçları Fonu) and IKV (İş Portföy İkinci Kısa Vadeli Borçlanma Araçları (TL) Fonu) side by side.

APTIKV
StockFund

If You Had Invested TRY 10,000

Metric Comparison

APT vs IKV Fund Comparison
MetricAPTIKVCategory median
Daily−0.39%0.09%−0.05%
1 week−0.26%0.70%0.19%
1 month1.02%3.11%1.73%
3 months6.32%9.78%7.51%
6 months17.06%19.61%19.07%
YTD17.03%30.52%22.38%
1 year31.58%44.13%36.86%
3 years126.26%—176.00%
Returns are based on prices as of September 29, 2026; the fund with the higher return or the lower risk score counts as the leader.

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About the APT vs IKV Comparison

The price, returns, size and risk of APT (Ak Portföy Orta Vadeli Borçlanma Araçları Fonu) and IKV (İş Portföy İkinci Kısa Vadeli Borçlanma Araçları (TL) Fonu) are compared side by side as of September 29, 2026. Of the 10 metrics compared, APT leads in 2 and IKV leads in 8. APT is a Debt Instruments Fund fund managed by Ak Portföy Yönetimi A.Ş.; IKV is a Debt Instruments Fund fund managed by İş Portföy Yönetimi A.Ş..

Highlights: Daily: IKV leads (0.09% vs −0.39%). 1 week: IKV leads (0.70% vs −0.26%). 1 month: IKV leads (3.11% vs 1.02%). 3 months: IKV leads (9.78% vs 6.32%). 6 months: IKV leads (19.61% vs 17.06%). YTD: IKV leads (30.52% vs 17.03%). 1 year: IKV leads (44.13% vs 31.58%). Size (TRY): APT leads (397.4M vs 366.6M). Investors: APT leads (13,052 vs 1,265). Risk: IKV leads (1 vs 3).

Frequently Asked Questions

Year to date APT returned 17.03% and IKV returned 30.52%; over the last year APT returned 31.58% and IKV returned 44.13%. Over the last month APT returned 1.02% and IKV returned 3.11%. Past performance does not indicate future returns.

As of September 29, 2026, APT has a size of TRY 397.4M with 13,052 investors, while IKV has a size of TRY 366.6M with 1,265 investors. APT leads in size and APT leads in investor count.

The CMB risk score of APT is 3 out of 7 and that of IKV is 1. The risk score reflects the historical volatility of the fund price; 1 is the lowest and 7 the highest risk. A lower score means less volatility, not a guarantee of higher returns.