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

Ticker · OYAYO ISIN · TREOYAY00018 LEI · 789000U4DJBD2EVV5N05 IS Financial and insurance activities
Filings indexed 5,434 across all filing types
Latest filing 2026-06-01 Regulatory Filings
Country TR Türkiye
Listing IS OYAYO

About OYAK YATIRIM ORTAKLIĞI A.Ş.

https://www.oyakyatirimortakligi.com.tr

OYAK Yatırım Ortaklığı A.Ş. is an investment trust specializing in portfolio creation and management. The company's primary activity involves managing a diversified portfolio of capital market instruments, including equities, securities, gold, and other precious metals traded on national and international markets. It provides portfolio management services to a client base of institutional and individual investors, and also manages various pension funds.

Recent filings

Filing Released Lang Actions
Ortaklık paylarının BİAŞ'ta oluşan ağırlıklı ortalama fiyatının, pay başına net aktif değerinin 2 katını aşması hakkında
Regulatory Filings
2026-06-01 Turkish
Ortaklık paylarının BİAŞ'ta oluşan ağırlıklı ortalama fiyatının, pay başına net aktif değerinin 2 katını aşması hakkında
Net Asset Value Classification · 85% confidence The document is a Material Event Disclosure by a Turkish investment trust (Menkul Kıymet Yatırım Ortaklığı) describing its net asset value per share (8.53 TL) and listing the requirement to publish daily portfolio and NAV tables when market price exceeds twice NAV. It provides the NAV and portfolio value tables as of 26.05.2026 for shareholders and public. This is a regular NAV update specific to an investment fund, matching the Net Asset Value (NAV) category.
2026-06-01 Turkish
26.05.2026 Tarihli Haftalık Rapor
Net Asset Value Classification · 85% confidence The document is a detailed "Weekly Report" for a fund (Turkish/English), dated 26.05.2026, containing actual portfolio breakdown tables with daily unit values, total value/net asset value, and sector allocations. It is not an announcement or link to a separate report, but the full data itself. This matches a regular update of NAV details for an investment fund. Accordingly, it should be classified under Net Asset Value (NAV).
2026-06-01 Turkish
Ortaklık paylarının BİAŞ'ta oluşan ağırlıklı ortalama fiyatının, pay başına net aktif değerinin 2 katını aşması hakkında
Regulatory Filings
2026-05-26 Turkish
Ortaklık paylarının BİAŞ'ta oluşan ağırlıklı ortalama fiyatının, pay başına net aktif değerinin 2 katını aşması hakkında
Net Asset Value Classification · 95% confidence The document is a Material Event Disclosure (Özel Durum Açıklaması) on the Turkish KAP platform by a securities investment fund, announcing the per-share net asset value as of 25.05.2026 and publishing the sectoral portfolio and NAV table in compliance with the Capital Markets Board’s rules. This is a routine NAV update for an investment fund.
2026-05-26 Turkish
Ortaklık paylarının BİAŞ'ta oluşan ağırlıklı ortalama fiyatının, pay başına net aktif değerinin 2 katını aşması hakkında
Regulatory Filings
2026-05-25 Turkish

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