Skip to main content
GARANTİ YATIRIM ORTAKLIĞI A.Ş. logo

GARANTİ YATIRIM ORTAKLIĞI A.Ş. — Investor Relations & Filings

Ticker · GRNYO ISIN · TRAGRNYO91Q5 LEI · 789000VLC81RRS1UZ833 IS Financial and insurance activities
Filings indexed 5,063 across all filing types
Latest filing 2026-04-10 Regulatory Filings
Country TR Türkiye
Listing IS GRNYO

About GARANTİ YATIRIM ORTAKLIĞI A.Ş.

https://www.garantibbvayatirim.com.tr/

Garanti Yatırım Ortaklığı A.Ş. is an investment trust specializing in portfolio and asset management. The company's primary objective is to create and operate a portfolio composed of capital market instruments. A key strategic focus is the management of assets consisting of gold and other precious metals traded on domestic and international stock markets and other organized exchanges. The firm manages its portfolio to generate returns for its shareholders through capital appreciation and dividends derived from its investments.

Recent filings

Filing Released Lang Actions
Paylarının BİAŞ'ta oluşan ağırlıklı ortalama fiyatının, pay başına net aktif değerinin 2 katını aşması hakkında.
Regulatory Filings Classification · 1% confidence The document is a Material Event Disclosure under Turkish Capital Market Board regulation (III-48.5) regarding the share price exceeding twice the net asset value per share, triggering a required announcement. It does not constitute an annual report, earnings release, or specific category like NAV update; rather it is a general regulatory filing announcing a material event. Therefore it is best classified as Regulatory Filings (RNS).
2026-04-10 Turkish
Paylarının BİAŞ'ta oluşan ağırlıklı ortalama fiyatının, pay başına net aktif değerinin 2 katını aşması hakkında.
Net Asset Value Classification · 1% confidence The document is a dated “Portföy Değer Tablosu” (Portfolio Value Table) for an investment partnership, detailing nominal values, market values, portfolio breakdown, cash, receivables, and liabilities – a classic Net Asset Value statement for a fund. This is not an announcement of a report but the actual NAV data. Therefore it belongs in the Net Asset Value (NAV) category.
2026-04-09 Turkish
Paylarının BİAŞ'ta oluşan ağırlıklı ortalama fiyatının, pay başına net aktif değerinin 2 katını aşması hakkında.
Regulatory Filings Classification · 1% confidence The document is a Turkish “Özel Durum Açıklaması (Genel)” – a Material Event Disclosure filed under Turkish Capital Markets Board Communiqués (III-48.5). It is a stock exchange regulatory disclosure about the share price exceeding twice the NAV, not a full report, notice of dividend, capital change, or any other specific category. Therefore it is a general regulatory announcement (Regulatory Filings).
2026-04-09 Turkish
Paylarının BİAŞ'ta oluşan ağırlıklı ortalama fiyatının, pay başına net aktif değerinin 2 katını aşması hakkında.
Net Asset Value Classification · 1% confidence The document is a portfolio valuation table (portföy değer tablosu) for GARANTİ YATIRIM ORTAKLIĞI A.Ş. dated 07.04.2026, showing fund assets, liabilities, market values, and NAV per share. This is a Net Asset Value update for an investment fund. It fits the NAV category.
2026-04-08 Turkish
Paylarının BİAŞ'ta oluşan ağırlıklı ortalama fiyatının, pay başına net aktif değerinin 2 katını aşması hakkında.
Regulatory Filings Classification · 1% confidence The document is a short “Özel Durum Açıklaması (Genel)” – a Turkish Material Event Disclosure under CMB Communiqué III-48.5 Article 36.2, notifying that share price exceeded 2x NAV. It is a regulatory announcement rather than a full financial report, dividend notice, or NAV update. It does not attach a separate report but constitutes a standalone disclosure. This fits the fallback “Regulatory Filings” category (RNS).
2026-04-08 Turkish
Paylarının BİAŞ'ta oluşan ağırlıklı ortalama fiyatının, pay başına net aktif değerinin 2 katını aşması hakkında.
Net Asset Value Classification · 1% confidence The document is a portfolio valuation table (“PORTFÖY DEĞER TABLOSU”) as of 06.04.2026 for Garantı Yatırım Ortaklığı (an investment fund). It lists the market values of securities, cash, receivables, payables, and concludes with the fund’s total value and value per share. This is a routine update of an investment fund’s Net Asset Value (NAV).
2026-04-07 Turkish

Report missing filing

Can't find a specific document? Let us know and we'll add it within 24 hours.

We will notify you once the filing is added.
Report sent
Thank you. We will check the data and update it shortly.