BRF vs SPT Fund Comparison
Price, period returns, size, investor count and risk score of BRF (Deniz Portföy Birinci Fon Sepeti Fonu) and SPT (Aktif Portföy Katılım Fon Sepeti Fonu) side by side.
If You Had Invested TRY 10,000
Metric Comparison
| Metric | BRF | SPT | Category median |
|---|---|---|---|
| Daily | 0.34% | 0.64% | 0.39% |
| 1 week | 0.94% | 0.45% | 0.25% |
| 1 month | −0.21% | −1.17% | −1.05% |
| 3 months | 3.49% | 7.37% | 6.44% |
| 6 months | 23.67% | 17.23% | 13.81% |
| YTD | 32.23% | 27.57% | 22.40% |
| 1 year | 42.81% | 45.07% | 35.81% |
| 3 years | — | 15.82% | 175.03% |
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About the BRF vs SPT Comparison
The price, returns, size and risk of BRF (Deniz Portföy Birinci Fon Sepeti Fonu) and SPT (Aktif Portföy Katılım Fon Sepeti Fonu) are compared side by side as of September 28, 2026. Of the 10 metrics compared, BRF leads in 6 and SPT leads in 4. BRF is a Fund of Funds fund managed by Deniz Portföy Yönetimi A.ş; SPT is a Fund of Funds fund managed by Aktif Portföy Yönetimi A.Ş..
Highlights: Daily: SPT leads (0.64% vs 0.34%). 1 week: BRF leads (0.94% vs 0.45%). 1 month: BRF leads (−0.21% vs −1.17%). 3 months: SPT leads (7.37% vs 3.49%). 6 months: BRF leads (23.67% vs 17.23%). YTD: BRF leads (32.23% vs 27.57%). 1 year: SPT leads (45.07% vs 42.81%). Size (TRY): BRF leads (84.2M vs 83.5M). Investors: BRF leads (1,061 vs 745). Risk: SPT leads (4 vs 5).
Frequently Asked Questions
Which earned more, BRF or SPT?
Year to date BRF returned 32.23% and SPT returned 27.57%; over the last year BRF returned 42.81% and SPT returned 45.07%. Over the last month BRF returned −0.21% and SPT returned −1.17%. Past performance does not indicate future returns.
Which is larger and which has more investors, BRF or SPT?
As of September 28, 2026, BRF has a size of TRY 84.2M with 1,061 investors, while SPT has a size of TRY 83.5M with 745 investors. BRF leads in size and BRF leads in investor count.
What do the risk scores of BRF and SPT mean?
The CMB risk score of BRF is 5 out of 7 and that of SPT is 4. 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.