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BIST EXCHANGE-TRADED FUND

OPT25Osmanlı Portföy BIST Dividend 25 ETF

A decision page for dividend-oriented bist companies: understand the exposure, compare market price with indicative NAV and open the current KAP documents.

WHAT DOES IT HOLD?

Equity index

Company and sector weights, index methodology and concentration risk are central.

OPT25 is an exchange-traded fund managed by Osmanlı Portföy. Its name indicates dividend-oriented bist companies, but the current prospectus, investor information form and portfolio reports define the exact rules and holdings.

PRICE–NAV LAB

Calculate the premium or discount

Enter values from the same time and currency. The result is indicative and excludes commission and tax.

BEFORE YOU TRADE

Six checks that matter more than the ticker

01

Exposure rules

Which index or assets does the prospectus permit?

02

Portfolio

Check current holdings, weights and concentration.

03

Spread

Compare the best bid and ask, not only the last trade.

04

Liquidity

Review volume, order-book depth and market-maker activity.

05

Tracking

Compare fund performance with the tracked index over matching periods.

06

Total cost

Include expenses, brokerage, spread, tax and FX conversion.

PRIMARY SOURCE

KAP

Use KAP for the current prospectus, fund rules, investor notices, portfolio reports, financial information and expected disclosure dates.

OPEN OFFICIAL FUND PAGE