Fund screener: filter Turkish mutual and pension funds
Filter 1,303 mutual and pension funds by category, manager, size, risk and return; data as of September 28, 2026.
Screener results
| Mixed Fund | İstanbul Portföy Yönetimi A.Ş. | 6.696500 | −0.36% | 3.80% | 7.60% | 14.33% | 45.53% | 44.79% | 40.52% | — | 11,831 | 6 | |
| Mixed Fund | İş Portföy Yönetimi A.Ş. | 13.586100 | 0.95% | 2.34% | 2.50% | 9.25% | 36.08% | 38.15% | 46.95% | — | 10,885 | 6 | |
| Mixed Fund | İş Portföy Yönetimi A.Ş. | 9.484900 | 0.92% | 1.96% | 1.36% | 7.91% | 34.02% | 37.06% | 45.03% | — | 12,168 | 6 | |
| Mixed Fund | Türkiye Hayat ve Emeklilik A.Ş. | 0.022939 | 0.58% | 0.47% | −0.72% | 7.57% | 24.03% | 36.98% | 42.58% | — | 38,851 | 3 | |
| Mixed Fund | İş Portföy Yönetimi A.Ş. | 9.046000 | 0.62% | −0.64% | −2.08% | −2.63% | 14.20% | 30.94% | 44.16% | — | 11,929 | 6 | |
| Mixed Fund | İş Portföy Yönetimi A.Ş. | 19.947500 | 0.59% | 0.78% | −0.47% | 0.98% | 19.13% | 30.30% | 44.82% | — | 17,590 | 6 | |
| Mixed Fund | Agesa Hayat ve Emeklilik A.Ş. | 0.824508 | 0.26% | −0.24% | −1.34% | 5.43% | 12.04% | 24.88% | 34.62% | — | 31,419 | 5 | |
| Mixed Fund | Allıanz Yaşam ve Emeklilik A.Ş. | 2.225000 | 0.21% | 0.62% | −0.27% | 5.87% | 22.59% | 24.28% | 32.04% | — | 226,266 | 6 | |
| Mixed Fund | Nn Hayat ve Emeklilik A.Ş. | 0.963114 | 0.16% | −0.19% | −1.10% | 3.83% | 13.52% | 24.15% | 32.00% | — | 82,180 | 4 | |
| Mixed Fund | Anadolu Hayat Emeklilik A.Ş. | 0.473847 | 0.17% | 0.47% | 1.38% | 5.80% | 16.61% | 23.32% | 35.29% | — | 210,305 | 2 | |
| Mixed Fund | Yapı Kredi Portföy Yönetimi A.Ş. | 5.216600 | 0.14% | 0.19% | −0.94% | 3.98% | 15.70% | 22.06% | 33.24% | −2.34% | 107,618 | 5 | |
| Mixed Fund | Vıennalıfe Emeklilik ve Hayat A.Ş. | 0.603584 | 0.09% | −0.06% | −2.18% | 1.38% | 12.85% | 20.24% | 32.05% | — | 22,204 | 4 | |
| Mixed Fund | İş Portföy Yönetimi A.Ş. | 10.069800 | −0.20% | 0.50% | −0.62% | 7.50% | 17.92% | 18.49% | 37.00% | — | 5,131 | 6 | |
| Mixed Fund | Garanti Emeklilik ve Hayat A.Ş. | 0.055867 | 0.49% | −0.03% | −2.11% | 7.35% | 16.36% | 17.25% | 29.98% | — | 27,310 | 6 | |
| Mixed Fund | İş Portföy Yönetimi A.Ş. | 1.162500 | 0.25% | 0.42% | −0.98% | 3.88% | 14.55% | 11.78% | — | −1.04% | 601 | 5 | |
| Mixed Fund | İş Portföy Yönetimi A.Ş. | 6.583700 | −0.53% | −0.64% | −0.93% | 14.04% | 18.77% | 11.59% | 8.90% | — | 6,638 | 6 | |
| Mixed Fund | Türkiye Hayat ve Emeklilik A.Ş. | 0.132683 | −0.44% | −1.75% | −2.68% | 3.93% | 6.22% | 10.22% | 23.33% | — | 82,462 | 5 | |
| Mixed Fund | Allıanz Hayat ve Emeklilik A.Ş. | 1.127600 | 0.62% | −0.10% | −1.39% | 9.54% | 14.17% | 8.01% | 16.57% | — | 86,169 | 6 |
Related pages
How to use
The fund screener lets you filter TEFAS mutual funds and Turkish pension funds in a single table. Combine fund type, category, manager, minimum size, CMB risk score and a minimum return for the period you choose to find the right funds among 1,303 in seconds.
The results are sorted by the selected return period; click a column header to sort by size, number of investors or risk instead. Filters are written to the address bar, so you can share a screen as a link or reopen it later exactly as you left it. Every fund code links to the fund’s detail page.
Frequently asked questions
How do I screen funds?
Start with the fund type (mutual or pension) and optionally a category; then set the minimum size, risk range, return period and minimum return percentage. The table updates instantly with every change and is sorted by the selected period. The ready-made screen links apply common combinations with one click.
What is the risk score?
The risk score is a value from 1 to 7 calculated from the fund’s historical price volatility under CMB regulation. 1 is the lowest and 7 the highest volatility; money market funds are usually 1–2 and equity funds 5–7. It measures price volatility, not a guarantee of return.
Which date do the returns refer to?
Daily, weekly, monthly, year-to-date and annual returns are based on official fund prices as of September 28, 2026 and are updated every business day. The “Today (est.)” column is a live estimate calculated from the intraday prices of the fund’s holdings; it is not an official price.