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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 2026-03-27 AGM Information
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
Genel Kurul Toplantı Sonucu
AGM Information Classification · 1% confidence The document is an official notice of the Annual General Assembly (AGM) for the fiscal year ending 31.12.2025, including the meeting agenda, invitation details, appendices, and information on the non-execution of the first meeting and its postponement. These materials constitute AGM documentation, not just a brief announcement nor a proxy solicitation or voting result only. Therefore, it falls squarely under AGM Information.
2026-03-27 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 portfolio valuation table (“Portföy Değer Tablosu”) for a Turkish investment fund (Garantı Yatırım Ortaklığı A.Ş.) showing breakdown of securities, liabilities, assets, and NAV per share. This matches a regular Net Asset Value (NAV) update for an investment fund. No other category is more appropriate.
2026-03-27 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’ (Material Event Disclosure) made under the Menkul Kıymet Yatırım Ortaklıklarına İlişkin Esaslar Tebliği (III-48.5). It is a regulatory announcement explaining that the stock’s weighted average price exceeded twice the NAV per share, which triggers a mandatory disclosure to the exchange. This is not a full report (e.g., Annual, Interim, or Earnings Release) nor a notice of report publication but a standalone regulatory event notice. It therefore falls under the generic Regulatory Filings category (RNS).
2026-03-27 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”) dated 25.03.2026 for GARANTİ YATIRIM ORTAKLIĞI A.Ş., showing the breakdown of asset types, nominal values, cost, market values, assets, liabilities and total fund value. This is a regular NAV update for an investment fund. It matches the definition of a Net Asset Value report.
2026-03-26 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 material event disclosure to the Turkish stock exchange (“Özel Durum Açıklaması (Genel)”), reporting that the weighted average share price exceeded twice its NAV under local capital market rules. It is a standalone regulatory announcement and does not constitute an annual or interim report, call transcript, or other defined category. Thus it falls under the general Regulatory Filings (RNS) category as a miscellaneous regulatory announcement.
2026-03-26 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 for Garanti Yatırım Ortaklığı A.Ş. as of 24.03.2026, showing detailed breakdown of securities, cash, receivables, debts, total portfolio value, fund total net asset value, and value per share. This aligns with a Net Asset Value update for an investment fund.
2026-03-25 Turkish

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