table: 1 - Capital Markets Board of Turkey

Transkript

table: 1 - Capital Markets Board of Turkey
TABLE: 1- BALANCE OF PAYMENTS
A. Current Account
Merchandise Exports
Merchandise Imports
Trade Balance
Other Goods and Services (Cred)
Other Goods and Services (Debit)
Total Goods and Services
Workers Remittances
Other Transfers
Official Transfers
Current Account Balance
B. Capital Account
Direct Investment
Portfolio Investment
Other
Short Term Capital
C. Errors and Omissions
D. Total Change in Reserves
($ Million)
1996 (1)
1997(1)
1998(1)
1999(1)
2000(1)
2001(1)
32,446
-43,028
-10,582
14,628
-10,930
-6,884
3,892
0
555
-2,437
8,763
612
570
1,636
5,945
-1,781
-4,545
32,647
-48,005
-15,358
21,273
-13,419
-7,504
4,552
0
314
-2,638
8,737
554
1,634
4,788
1,761
-2,755
-3,344
31,220
-45,440
-14,220
25,802
-15,325
-3,743
5,568
0
159
1,984
448
573
-6,711
3,985
2,601
-1,985
-447
29,326
-39,773
-10,447
18,748
-14,840
-6,539
4,813
0
362
-1,364
4,671
138
3,429
345
759
1,899
-5,206
31,375
-53,712
-22,337
22,320
-14,975
-14,992
5,011
0
214
-9,767
9,445
112
1,022
4,276
4,035
-2,675
2,997
35,104
-39,879
-4,775
17,935
-13,824
-664
3,771
0
207
3,314
-13,882
2,769
-4,515
-1,130
-11,006
-2,356
12,924
Source: SIS, Central Bank
(1) Including shuttle trade
TABLE : 2 - EXCHANGE RATES
EXCHANGE RATES*
US DOLLAR
Year
1996
1997
1998
1999
2000
2001
Year end
107,775
205,245
313,475
541,401
673,384
1,443,039
D MARK
Yearly avg.
81,591
152,409
261,488
420,710
625,208
1,228,367
Year end
Yearly avg.
54,117
87,565
149,379
228,258
294,160
560,540
69,247
114,515
187,790
277,838
317,027
649,940
Source: Central Bank
* bid/ask average
TABLE : 3 - FOREIGN DEBT
TOTAL
SHORT TERM
MEDIUM-LONG TERM
COMPOSITION OF BORROWERS
MEDIUM-LONG TERM
Public Sector
Central Bank
Private Sector
SHORT TERM
Central Bank
Commercial Banks
Other
($ Million)
1997
1998
1999
2000
2001
84,797
18,047
66,750
96,897
21,217
75,680
103,025
23,472
79,553
118,615
28,301
90,314
115,110
16,345
98,765
66,750
39,349
10,868
16,533
18,047
889
8,503
8,655
75,680
40,491
12,073
23,116
21,217
905
11,159
9,153
79,553
43,452
10,312
25,789
23,472
686
13,172
9,614
90,314
47,732
13,429
29,153
28,301
653
16,900
11,359
98,765
46,083
23,753
28,929
16,345
590
8,095
7660
Source: Central Bank
Capital Markets Board of Turkey Annual Report 2001
65
TABLE : 4- CONSOLIDATED BUDGET
(TL Billion)
1997
8,050,252
5,772,335
2,788,298
2,073,140
715,158
640,134
4,621,820
2,277,917
1,977,967
299,950
760,000
1,583,903
5,815,099
5,726,932
4,745,484
404,679
576,769
88,167
-2,235,153
42,764
-2,027,889
1-EXPENDITURES
Non interest expenditures
A. Current Expenditures
- Personnel
- Other
B. Investments
C. Transfers
- Interest Payments
Interest on domestic debt
Interest on foreign debt
- Social Security
- Other
2-INCOME
A-General Budget Income
- Tax income
- Non tax incme
- Special sources and funds
B- Annexed Budget Income
3- BUDGET DEFICIT
4- PRIMARY DEFICIT
5- CASH BALANCE
1998
15,614,441
9,437,846
5,187,840
3,871,005
1,316,835
999,320
9,427,281
6,176,595
5,629,514
547,081
1,400,000
1,850,686
11,811,065
11,635,611
9,228,596
1,221,530
1,185,485
175,454
-3,803,376
2,373,219
-3,486,812
1999
28,084,685
17,363,845
9,172,790
6,911,927
2,260,863
1,544,427
17,367,468
10,720,840
9,824,622
896,218
2,750,000
3,896,628
18,933,065
18,657,677
14,802,280
1,883,461
1,971,936
275,388
-9,151,620
1,569,220
-8,991,863
2000
46,602,627
26,162,765
13,593,463
9,982,149
3,611,314
2,472,317
30,536,847
20,439,862
18,791,862
1,648,000
3,225,685
6,871,300
33,756,437
33,290,446
26,514,127
3,486,275
3,290,044
465,991
-12,846,190
7,593,672
-12,027,701
2001
80,379,004
39,314,395
20,368,339
15,203,977
5,164,362
4,139,803
55,870,862
41,064,609
37,494,301
3,570,308
5,112,000
9,694,253
51,812,542
51,143,596
39,767,892
7,398,155
3,977,549
668,946
-28,566,462
12,498,147
-31,110,817
Source: Ministry of Finance
TABLE : 5 - PRICE MOVEMENTS
WPI
Year
(1994=100)
CPI
% Change
(1994=100)
% Change
1996
412.5
84.9
430.7
79.8
1997
787.7
91.0
857.5
99.1
1998
1,215.1
54.3
1,455.4
69.7
1999
1,979.5
62.9
2,456.6
68.8
2000
2,626.0
32.7
3,415.5
39.0
2001
4,951.0
88.6
5,756.2
68.5
Source: SIS
TABLE : 6 - CAPACITY UTILIZATION RATIO AND PRODUCTION INDEX FOR THE MANUFACTURING INDUSTRY
Year
CAPACITY UTILIZATION RATIO(%)
PRODUCTION INDEX (1997=100)
1997
79.3
100.1
1998
76.5
100.9
1999
72.4
95.8
2000
76.0
100.9
2001
71.0
92.0
Source: SIS
66
Capital Markets Board of Turkey Annual Report 2001
TABLE : 7 - BANKNOTES IN CIRCULATION
Year
AS OF END OF PERIOD (TL. Billion)
% CHANGE
758,878
1,328,542
2,390,748
3,772,411
5,282,660
98.5
75.1
80.0
57.8
40.0
1997
1998
1999
2000
2001
Source: Central Bank
TABLE : 8 - MONEY STOCK
(TL Billion)
1997
1998
1999
2000
2001
M1
Currency in circulation
Sight deposits
1,581,210
610,871
970,339
2,562,479
1,057,864
1,504,615
4,272,018
1,887,153
2,384,865
6,746,482
3,196,942
3,549,540
11,073,270
4,801,257
6,272,013
M2 (M1 + Time deposits)
Time deposits (savings)
5,658,800
4,077,590
11,423,199
8,860,720
21,992,654
17,720,636
31,109,334
24,362,852
46,985,987
35,912,717
M2Y (M2 + F/X deposits)
Foreign Exchange deposits
10,664,058
5,005,258
20,212,651
8,789,452
40,153,557
18,160,903
56,046,300
24,936,966
104,132,803
57,146,816
6,139,428
221,367
259,261
12,037,539
364,531
249,809
23,024,065
796,961
234,450
32,843,531
1,322,941
410,215
50,587,717
2,737,446
864,284
M3 (M2 + Official deposits + Other)
Official deposits
Other dep. with the Central Bank
Source: Central Bank
TABLE : 9 - FINANCIAL ASSETS (Stock Values)
I. BANKING AND SFH
Sight deposits
Time deposits
Official deposits
F/X deposits
Special Finance Houses (SFH)
II. CAPITAL MARKETS
PUBLIC SECTOR
Government bonds
Treasury bills
Revenue Sharing Certificates
F/X indexed bonds
Privatization bonds
CORPORATE SECTOR
Shares
Bonds
Commercial paper
Asset Backed Securities
Bank bills
Profit/Loss sharing certificates
Real estate certificates
TOTAL
(TL Billion)
1997
1998
1999
2000
2001
10,614,877
970,339
4,077,590
221,367
5,005,258
340,323
7,024,520
6,093,227
3,570,811
2,374,990
20,205,487
1,504,615
8,860,720
364,531
8,789,452
686,169
13,687,952
11,789,178
5,771,980
5,840,906
40,483,921
2,384,865
17,720,636
796,961
18,160,903
1,420,556
27,098,590
23,302,854
19,683,393
3,236,753
54,611,465
3,549,287
21,742,683
1,204,709
26,233,324
1,863,462
43,670,202
36,802,214
34,362,937
2,057,684
105,546,862
6,271,522
36,026,317
2,737,446
58,732,348
1,779,229*
133,447,113
122,930,010
102,169,784
20,029,334
147,426
931,293
909,295
3,897
2,200
13,150
22
15
2,714
17,639,397
176,292
1,898,774
1,885,946
5,494
382,708
3,795,736
3,793,195
2,533
381,593
6,867,988
6,866,817
1,163
730,892
10,517,103
10,515,933
1,162
7,305
29
8
8
8
33,893,439
67,582,511
98,281,667
238,993,975
Source: Central Bank, CMB
* as of November
Capital Markets Board of Turkey Annual Report 2001
67
TABLE : 10 - INTEREST RATES ON SAVINGS DEPOSITS (%) (end of period)
Year
SIGHT
DEPOSITS
1996
1997
1998
1999
2000
2001
18.5
26.8
30.0
27.4
6.8
8.1
TIME DEPOSITS
3-MONTH
6-MONTH
1-MONTH
76.0
78.3
80.5
72.1
81.2
59.8
79.7
83.2
82.8
59.5
105.5
61.2
1 Year
84.6
91.5
85.6
48.3
69.2
61.9
93.8
96.6
94.8
46.7
45.6
62.5
Source: Central Bank
TABLE : 11 - SECTORAL BREAKDOWN OF DEPOSIT MONEY BANK CREDITS
Public Administrations and
non-financial State Enterprises
Financial Institutions
Private Sector
Households
Consumer Credits
Credit Cards
Corporate sector
Other
Non residents
Total
(TL Billion)
1997
1998
1999
2000
2001
245,290
212,181
6,959,949
685,086
432,174
252,912
4,996,589
1,278,274
132,053
7,549,473
317,670
353,162
10,774,212
1,341,299
699,158
642,141
8,722,594
710,319
272,927
11,717,971
753,986
611,592
15,390,632
2,141,906
1,004,315
1,137,591
10,435,244
2,813,482
210,856
16,967,066
806,697
735,207
25,561,981
6,754,666
4,602,942
2,151,724
15,459,400
3,347,915
268,290
27,372,175
1,748,128
1,016,460
30,742,262
4,820,230
2,256,204
2,564,026
22,648,956
3,273,076
411,508
33,918,358
Source. Central Bank
TABLE : 12 - GOVERNMENT SECURITIES ISSUES
GOVERNMENT BONDS
1997
1998
1999
2000
2001
(TL Billion)
TREASURY BILLS
3,185,567
4,708,064
20,027,769
26,685,862
164,225,195
PRIVATIZATION BONDS
3,074,400
9,546,260
6,858,636
5,782,683
45,492,899
TOTAL
117,263
38,765
36,638
49,675
87,130
6,377,230
14,293,089
26,923,043
32,518,220
209,805,224
Source: Undersecreteriat of Treasury
TABLE : 13 OUTSTANDING GOVERNMENT SECURITIES
Government Bonds
Treasury Bills
Revenue Sharing Cert.
F/X Indexed Bonds
Privatization Bonds
Total
Government Securities / GNP (%)
(TL Billion)
1997
1998
1999
2000
2001
3,570,811
2,374,990
5,771,980
5,840,906
19,683,393
3,236,753
34,362,937
2,057,684
102,169,784
20,029,334
147,426
6,093,227
20,7
176,291
11,789,177
22,2
382,707
23,302,853
29,8
381,593
36,802,214
29,2
730,892
122,930,010
68,5
Source: UT,PA, SIS.
68
Capital Markets Board of Turkey Annual Report 2001
Capital Markets Board of Turkey Annual Report 2001
69
215,470,401
440,099,949
665,309,404
1,302,366,874
1,679,896,616
1997
1998
1999
2000
2001
305,732,068
696,821,765
678,870,665
3,007,974,041
1,684,497,761
Market Value
II
36,213,513
43,045,770
42,689,451
55,594,921
41,046,423
1997
1998
1999
2000
2001
51,383,540
68,155,493
43,289,826
128,891,190
38,500,004
Market Value
II
(*) IX= II+III+IV+V+VI+VIII+IX+X
Nominal
I
Year
Shares
B) AT CONSTANT PRICES (1994=100)
Nominal
I
Shares
Year
A) AT CURRENT PRICES
**
251,338
247,727
III
Corporate
Bonds
1,158,750
1,495,460
2,532,760
III
Corporate
Bonds
672,372
IV
Commercial
Papers
2,200,000
IV
Commercial
Papers
TABLE : 14 - SECURITIES ISSUES REGISTERED WITH THE BOARD
12,471,060
147,696,727
9,934,500
VI
34,330,000
56,069,000
45,969,800
438,605,000
593,181,326
Nominal
VII
131,423,300
176,673,960
2,767,908,059
3,830,878,673
Market Value
VIII
Bank Bills
Mutual Fund Participation
and Bank
Certificates
Guaranteed Bills
3,942,594
67,320,555
1,757,205
IX
X
Foreign Mutual
Fund Participation Real Estate
Certificates
Certificates
130,336,722
38,451,350
533,065
3,638,299
1,669,664
5,769,478
5,484,057
2,925,918
18,632,614
15,003,011
12,854,392
11,254,390
119,581,045
97,433,340
188,281
1,959,701
295,329
Bank Bills
Mutual Fund Participation
Foreign Mutual
Asset Backed
and Bank
Certificates
Fund Participation Real Estate
Securities
Guaranteed Bills
Certificates
Certificates
Nominal
Market Value
V
VI
VII
VIII
IX
X
23,000,000
11,000,000
V
Asset Backed
Securities
63,604,913
82,333,512
54,544,217
249,193,581
141,531,344
XI(*)
Total
(TL Million)
378,449,233
841,777,825
855,544,625
5,793,454,503
5,730,393,716
XI(*)
Total
(TL Million)
TABLO : 15 - PRIVATE SECTOR SECURITIES (Stock Value)
($ Billion)
Year
Shares
Bonds
Comm. Paper
Asset Backed
Securities
Real Estate
Certificates
Bank Bills
1997
1998
1999
2000
2001
909,295
1,885,946
3,793,195
6,866,817
10,515,933
3,897
5,494
2,533
1,162
1,162
2,200
13,150
7,305
2,714
22
29
8
8
8
TABLE : 16 - SECONDARY MARKET TRANSACTIONS
I. BANKS
PRIVATE SECTOR SECURITIES
Shares
Bonds
Commercial Paper
Bank Bills
Asset Backed Securities
GOVERNMENT SECURITIES
Government Bonds
Treasury Bills
F/X Indexed Bonds
Housing Certificates
II. BROKERAGE HOUSES
PRIVATE SECTOR SECURITIES
Shares
Bonds
Commercial Paper
Bank Bills
Asset Backed Securities
GOVERNMENT SECURITIES
Government Bonds
Treasury Bills
F/X Indexed Bonds
Housing Certificates
TOTAL
70
15
(TL Billion)
1997
165,061,359
311,659
113,389
198,267
1998
256,215,661
86,588
60,745
25,843
1999
1,008,180,069
37,560
37,560
2000
753,189,719
175,725
175,725
2001
777,126,028
3
164,749,701
80,586,280
84,052,024
111,397
256,129,073
101,281,325
154,787,507
60,240
1,008,142,509
664,113,890
344,028,619
753,013,994
646,514,199
106,499,795
777,126,028
586,483,137
190,642,891
42,369,364
18,087,185
18,036,117
77,242,291
37,032,663
36,876,534
211,964,041
111,765,451
111,165,097
51,068
270
155,859
575
599,779
213,190,538
93,666,471
93,116,230
0
520
549,721
40,209,628
30,752,387
9,457,240
100,198,590
95,767,906
4,430,684
119,524,067
98,640,614
20,883,223
230
1,085,422,360
965,153,760
990,316,566
20,731,982
8,973,053
8,972,185
868
11,758,929
4,960,368
6,797,190
1,371
185,793,342
24,282,179
8,660,196
15,621,355
40
588
298,585,026
TABLE : 17 - DEBT INSTRUMENTS SECONDARY MARKET TRADING VOLUME
PRIVATE SECTOR
Bonds
Commercial Paper
Bank Bills
Asset Backed Securities
PUBLIC SECTOR
Government Bonds
Treasury Bills
F/X Indexed Bonds
Housing Certificates
TOTAL
Profit and Loss
Sharing
Certificates
(TL Billion)
1997
1998
1999
2000
2001
199,138
199,135
76,911
25,843
156,129
560,354
270
155,859
575
559,779
550,242
0
520
549,722
1,048,352,136
694,866,277
353,485,859
853,212,584
742,282,105
110,930,479
896,650,094
685,123,750
211,526,114
230
1,048,508,265
853,772,938
897,200,336
51,068
3
176,508,630
85,546,648
90,849,214
112,768
176,707,768
280,411,252
109,941,521
170,408,862
60,280
588
280,488,163
Capital Markets Board of Turkey Annual Report 2001
TABLE : 18 - COMPANIES IN THE ISE SHARES MARKET
LISTED COMPANIES
Year
Number
Nominal Capital
(TL Billion)
743
686
319
315
310
1997
1998
1999
2000
2001
COMPANIES WITH ACTIVELY TRADED STOCKS
Total Market
Number
Nominal Capital
Capitalization
(TL Billion)
(TL Billion)
909,295
1,885,946
3,793,195
6,866,817
10,515,933
244
262
256
315
310
783,234
1,669,956
3,392,830
6,866,817
10,515,933
12,654,308
10,611,820
61,137,073
46,692,373
68,603,041
Source : ISE
TABLE : 19 - MAIN INDICATORS OF ISE EQUITY MARKET
Year
Number of
Trading Days
Turnover
(TL Billion )
Number of
Shares
Traded
(Million)
Average Daily
Turnover
(TL Billion)
1997
1998
1999
2000
2001
252
248
236
246
248
9,272,346
18,096,862
36,903,111
111,340,969
93,118,834
918,555
2,242,532
5,823,859
11,075,685
23,938,149
36,795
72,971
156,369
452,606
375,479
Average Daily
Number of
Shares Traded
(Million)
3,645
9,042
24,677
45,023
96,525
Number Of
Contracts
(Thousand)
17,059
21,577
25,785
32,428
31,380
Turnover/
Number Of
Contracts
(TL Million)
544
839
1,431
3,433
2,967
Source: ISE
TABLE : 20 - SMALL ORDERS EXECUTED OFF-THE EXCHANGE
Year
Trading Volume
(TL Billion)
Number of
Transactions
(Million)
Avg.Daily
Trading Volume
(TL Billion)
Avg.Daily
Number of
Transactions
(Million)
Number of
Contracts
Traded
(Million)
1997
Purchases
Sales
15,765
24,672
1,325
1,641
63
98
5
7
2
2
1998
Purchases
Sales
25,415
31,050
2,123
2,542
102
125
9
10
3
4
1999
Purchases
Sales
19,832
21,571
2,197
2,202
84
91
9
9
3
3
2000
Purchases
Sales
89,229
127,079
6,084
7,845
363
517
25
32
7
9
2001
Purchases
Sales
80,929
59,769
14,645
12,223
326
241
59
49
3
3
Source : ISE
Capital Markets Board of Turkey Annual Report 2001
71
TABLE : 21 - ISE EQUITY MARKET INDEX
At Closing Prices
Month
National-100 Index
National Industrials
Index
National Financials
Index
National Services
Index
1997(*)
January
February
March
April
May
June
July
August
September
October
November
December
1,605.0
1,612.0
1,613.0
1,427.0
1,595.0
1,851.0
1,953.0
1,980.0
2,593.0
2,846.0
2,879.0
3,451.0
1,637.0
1,649.0
1,602.0
1,427.0
1,487.0
1,731.0
1,903.0
1,938.0
2,432.0
2,476.0
2,442.0
2,660.0
1,565.0
1,699.0
1,769.0
1,548.0
1,770.0
2,014.0
2,065.0
2,143.0
2,884.0
3,321.0
3,565.0
4,522.0
1,597.0
1,444.0
1,451.0
1,319.0
1,524.0
1,854.0
1,941.0
1,932.0
2,569.0
3,171.0
3,061.0
3,593.0
January
February
March
April
May
June
July
August
September
October
November
December
3,547.0
3,272.0
3,259.0
4,195.0
3,728.0
4,100.0
4,322.3
2,635.0
2,266.0
2,196.0
2,578.0
2,597.9
2,834.0
2,517.0
2,747.0
3,428.0
3,241.0
3,504.0
3,721.2
2,203.0
1,958.0
1,707.0
1,905.0
1,943.7
4,496.0
4,270.0
4,024.0
5,257.0
4,520.0
4,957.0
5,278.5
3,231.0
2,688.0
2,702.0
3,241.0
3,269.6
4,003.0
3,624.0
3,893.0
4,701.0
4,574.0
4,967.0
5,182.6
3,469.0
3,090.0
2,702.0
3,584.0
3,697.1
January
February
March
April
May
June
July
August
September
October
November
December
2,568.0
3,891.0
4,554.0
5,354.0
5,069.0
4,950.0
5,805.5
5,018.3
6,071.1
6,556.0
8,459.0
15,208.8
1,882.0
2,572.0
3,059.0
3,447.0
3,489.0
3,208.0
3,768.1
3,617.5
4,513.7
4,587.0
5,836.0
9,945.8
3,241.0
5,100.0
6,074.0
7,305.0
6,822.0
6,781.0
7,938.5
6,530.5
7,755.9
8,741.0
11,396.0
21,180.8
3,796.0
5,283.0
5,718.0
6,082.0
5,476.0
5564.0
5,975.4
5,629.3
6,622.4
6,888.0
7,923.0
13,194.4
January
February
March
April
May
June
July
August
September
October
November
December
1,6715.0
1,5945.9
1,5920.1
1,9205.7
1,6206.4
1,4466.1
1,3870.2
1,3132.1
1,1350.3
1,3538.4
8747.7
9437.2
11,725.2
11,028.0
11,183.6
13,833.4
11,581.2
10,749.2
10,346.1
10,027.0
8,913.8
10,383.9
7,088.2
6,955.0
22,488.9
21,856.1
21,813.7
25,734.0
22,100.1
19,348.6
18,710.8
17,924.1
15,332.6
18,567.5
11,672.3
12,837.9
16,934.8
13,857.2
13,690.4
16,761.8
14,297.9
12,929.7
11,608.9
10,009.7
8,620.0
9,590.2
5,995.9
7,224.0
January
February
March
April
May
June
July
August
September
October
November
December
10,685.1
8,791.6
8,022.7
12,367.4
10,879.8
11,204.2
9,914.6
9,878.9
7,625.9
9,848.8
11,633.9
13,782.8
7,504.2
6,579.4
6,395.4
9,538.2
8,286.1
8,703.0
8,311.4
8,603.2
7,068.9
9,139.3
10,056.9
11,413.4
15,406.2
11,922.6
10,827.6
17,200.5
15,729.3
16,045.5
13,884.0
13,448.5
9,955.0
12,285.7
15,145.4
18,234.7
7,128.4
6,134.9
5,737.9
7,583.9
6,153.8
6,524.8
5,360.1
5,479.7
4,326.8
6,433.6
7,702.9
9,261.8
1998
1999
2000
2001
Source : ISE
(*) : ISE Index which has been expressed as 1986 Jan. = 100 for the period 1986-1996, is expressed as 1986 January = 1, beginnig in 1997.
72
Capital Markets Board of Turkey Annual Report 2001
TABLE : 22 - PORTFOLIO COMPOSITION OF MUTUAL FUNDS (Percentage Distribution)
1997
1998
1999
2000
2001
TYPE A TYPE B TYPE A TYPE B TYPE A TYPE B TYPE A TYPE B TYPE A TYPE B
Government Bonds
Foreign Government Bonds
Treasury Bills
Foreign Treasury Bills
Reverse Repo
REPO
Gold
Foreign Corporate Bonds
Commercial Papers
Shares
Foreign Shares
Asset Backed Securities
Other
TOTAL
1.76
6.64
0.38
21.02
4.00
63.79
10.69
0.20
44.54
5.78
0.15
34.36
0.06
59.09
0.33
0.06
0.01
39.08
1.34
0.27
39.56
0.33
0.11
55.40
0.88
0.10
0.16
100.00
2.24
100.00
0.12
100.00
0.02
100.00
0.28
100.00
15.44
34.06
9.48
0.03
4.95
100.00
9.75
3.99
30.61
0.22
18.52
0.10
11.20
0.01
68.92
11.09
0.15
0.23
9.66
8.53
0.12
26.73
0.01
86.36
22.44
64.50
45.73
0.17
0.03
61.77
0.01
0.05
0.003
0.10
100.00
0.03
100.00
100.00
0.07
100.00
42.40
0.30
13.24
0.16
6.12
TABLE : 23 - "TYPE A" MUTUAL FUNDS
No
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
No of Shares
Asset Value in Circulation TL. Price
(TL. Billion) (Thousand) 31.12.2001
Name of the
Mutual Fund
ABN AMRO BANK NV ALARKOTYPE A PRIVATE FUND
ABN AMRO BANK NV.TURKSE PERENCOTYPE A PRIVATE FUND
ABN AMRO YAT.SECURITIES INC.TYPE A MIXED MUTUAL FUND
ACAR SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
AK YATIRIM SECURITIES INC.TYPE A EQUITY MUTUAL FUND
AKBANK TYPE A ISE NATIONAL 30 INDEXFUND
AKBANK A MIXED MUTUAL FUND
AKBANKTYPE A VARIABLE MUTUAL FUND
AKBANKTYPE A EQUITY MUTUAL FUND
AKBANKTYPE A MANUFACTURING SECTOR FUND
AKBANKTYPE A MALİ KURULUŞLAR SECTOR FUND
AKBANKTYPE A SABANCI HOLDİNG İŞT.FUND
AKBANKTYPE A TECHNOLOGY SECTOR FUND
ALFA SECURITIES INC.TYPE A EQUITY MUTUAL FUND
ALFA SECURITIES INC.TYPE A ISE NATIONAL 30 INDEXFUND
ALFA SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
ALTERNATİFBANKTYPE A VARIABLE MUTUAL FUND
ALTERNATİFBANKTYPE A EQUITY MUTUAL FUND
ALTERNATİFBANK ANADOLU GRUBUTYPE A PRIVATE FUND
ANADOLUBANKTYPE A EQUITY MUTUAL FUND
ATA YAT.MEN.KIY.TYPE A VARIABLE MUTUAL FUND
ATA YAT.MEN.KIY.TYPE A ISE NATIONAL 30 INDEXFUND
ATA YAT.MEN.KIY.TYPE A ISE NATIONAL 50 INDEXFUND
ATA YATIRIM MEN.KIY.TYPE A MIXED MUTUAL FUND
BANKEKSPRESTYPE A VARIABLE MUTUAL FUND
BAYINDIR SECURITIES INC.TYPE A MIXED MUTUAL FUND
BAYINDIR SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
BAYINDIRBANK TYPE A EQUITY MUTUAL FUND
BENDER SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
COMMERCİAL UNİON SİGORTATYPE A VARIABLE MUTUAL FUND
DEMİR YAT.SECURITIES INC.TYPE A MANUFACTURING SECTOR FUND
DEMİR YAT.SECURITIES INC.TYPE A FINANCIAL INS. SECTORFUND
DEMİR YATIRIMTYPE A EQUITY MUTUAL FUND
13,317
2,376
365
12,500
403
4,053
743
1,503
6,183
630
655
5,323
398
777
831
1,319
1,256
133
757
575
2,995
745
383
4,544
305
56
976
432
2,603
2,406
509
130
3,113
78,700
30,500
3,806
155,262
31,148
415,597
46,470
87,317
22,887
50,742
43,275
400,357
31,684
29,459
81,442
11,091
2,404
11,220
26,000
56,603
36,344
53,441
51,905
1,259
893
1,988
10,090
12,641
36,485
828
22,179
7,008
87,225
169,218
77,886
95,799
80,509
12,942
9,752
15,995
17,219
270,132
12,423
15,133
13,295
12,559
26,370
10,203
118,907
522,585
11,818
29,128
10,157
82,420
13,932
7,371
3,609,436
342,128
28,022
96,775
34,199
71,342
2,907,101
22,955
18,609
35,691
Capital Markets Board of Turkey Annual Report 2001
TL. Price
31.12.2000
85,737
43,273
53,006
41,822
7,070
9,996
165,403
8,710
18,090
7,217
83,728
306,036
16,457
7,791
74,502
10,241
5,876
2,107,775
249,196
20,983
61,023
21,190
27,626
1,584,387
8,860
8,847
19,847
73
Annual
Return
(%)
97.37
79.99
80.73
92.50
83.06
72.26
63.32
52.65
45.77
41.38
42.02
70.76
76.99
30.37
10.63
36.04
25.44
71.24
37.29
33.55
58.59
61.39
158.24
83.48
159.08
110.35
79.83
TABLE : 23 - "TYPE A" MUTUAL FUNDS
No
34
35
36
37
38
39
40
41
42
43
44
45
46
47
48
49
50
51
52
53
54
55
56
57
58
59
60
61
62
63
64
65
66
67
68
69
70
71
72
73
74
75
76
77
78
79
80
81
82
83
84
85
86
87
No of Shares
Asset Value in Circulation TL. Price
(TL. Billion) (Thousand) 31.12.2001
Name of the
Mutual Fund
DEMİR YATIRIMTYPE A ISE NATIONAL-100 INDEXFUND
DEMİR YATIRIM SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
DEMİR YATIRIM SECURITIES INC.ATİPİ MIXED MUTUAL FUND
DEMİRBANKTYPE A CINGILLI HOLDİNG PRIVATE FUND
DEMİRBANKTYPE A VARIABLE MUTUAL FUND
DENİZBANKTYPE A VARIABLE MUTUAL FUND
DENİZBANKTYPE A EQUITY MUTUAL FUND
DENİZBANKTYPE A ISE NATIONAL 100 INDEXFUND
DENİZBANKTYPE A MIXED MUTUAL FUND
ECZ.SECURITIES INC.TYPE A AXA OYAK SİG. DEĞ. PRIVATE FUND
ECZACIBAŞI SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
ECZACIBAŞI SECURITIES INC.TYPE A MIXED MUTUAL FUND
EGE GİYİM SAN.BANK.TYPE A MIXED MUTUAL FUND
EGE GİYİM SANAYİCİLERİ SİG.TYPE A VARIABLE MUTUAL FUND
EGS YAT.SECURITIES INC.TYPE A EGS FİNANS GRB.DEĞ.PRIVATE FUND
EGS YAT.SECURITIES INC.TYPE A ISE NATIONAL-50 INDEXFUND
EGS YATIRIM SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
EGS YATIRIM SECURITIES INC.TYPE A MIXED FUND
ETİBANKTYPE A VARIABLE MUTUAL FUND
ETİBANKTYPE A MIXED MUTUAL FUND
EVGİN SECURITIES INC..TYPE A MIXED MUTUAL FUND
EVGİN SECURITIES INC.TİC.TYPE A VARIABLE MUTUAL FUND
FİNANS YATIRIM SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
FİNANS YATIRIM SECURITIES INC.TYPE A MIXED MUTUAL FUND
FİNANSBANKTYPE A VARIABLE MUTUAL FUND
FİNANSBANK TYPE A EQUITY MUTUAL FUND
GARANTİ SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
GEDİK SECURITIES INC.TYPE A EQUITY MUTUAL FUND
GEDİK SECURITIES INC.TYPE A MIXED MUTUAL FUND
GLOBAL SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
GLOBAL SECURITIES INC.TYPE A ISE NATIONAL 100 INDEXFUND
GLOBAL SECURITIES INC.TYPE A MIXED MUTUAL FUND
HAK SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
HSBC BANKTYPE A VARIABLE MUTUAL FUND
HSBC BANKTYPE A EQUITY MUTUAL FUND
İKTİSAT BANKASITYPE A VARIABLE MUTUAL FUND
İKTİSAT BANKASITYPE A EQUITY MUTUAL FUND
İKTİSAT SECURITIES INC.TYPE A EQUITY MUTUAL FUND
İNTER SECURITIES TYPE A EQUITY MUTUAL FUND
İNTER SECURITIES TYPE A MIXED MUTUAL FUND
İŞ SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
KALKINMA YATIRIM SECURITIES INC.TYPE A MIXED MUTUAL FUND
KALKINMA YATIRIM SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
KENT YATIRIM SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
KENTBANKTYPE A VARIABLE MUTUAL FUND
KENTBANKTYPE A MIXED MUTUAL FUND
KOÇ SECURITIES INC. TYPE A VARIABLE MUTUAL FUND
KOÇ SECURITIES INC.TYPE A KOÇ CO.’S PARTICIPATIONFUND
KOÇBANKTYPE A VARIABLE MUTUAL FUND
KOÇBANKTYPE A EQUITY MUTUAL FUND
KOÇBANKTYPE A FIN. INSTITUTIONS SECTOR FUND
KOÇBANKTYPE A MIXED MUTUAL FUND
KOÇBANKTYPE A KOÇ-ALLIANZ INSURANCE PRIVATE FUND
KOÇBANK.TYPE A ISE NATIONAL-30 INDEXFUND
74
Capital Markets Board of Turkey Annual Report 2001
1,394
1,542
2,960
548
4,132
1,285
436
259
430
6,275
15,590
406
12
0
0
0
0
0
391
227
332
720
1,164
499
3,280
380
512
271
358
16,256
232
1,648
519
3,187
3,174
3
20
3,199
1,399
2,032
68,466
669
680
318
7
24
23,141
2,952
51,155
8,670
1,738
5,661
9,190
17,369
71,672
10,482
54,429
3,901
608
21,431
12,690
20,365
5,931
47,972
17,301
22,990
211
8
1
0
11
0
13,755
1,049
2,733
44,415
69,300
26,969
680
42,616
25,636
13,030
2,415
2,092
26,025
114,644
1,007
126,650
136,573
1
2
299,700
18,797
10,926
387,593
50,000
20,000
32,516
542
81
1,212,292
53,223
9,627
55,902
131,133
453,593
100,000
31,667
19,444
147,136
54,388
140,502
6,795,642
59,970
34,356
12,701
72,472
130,812
901,124
17,642
56,854
22,487
18,984
9,673
19,147
0
28,394
216,419
121,440
16,218
16,794
18,500
4,824,341
8,927
19,990
20,771
148,128
7,771,008
8,908
14,379
515,552
25,162
23,237
3,652,422
11,113,538
10,674
74,432
186,008
176,644
13,374
33,978
9,783
12,490
291,974
19,089
55,472
5,313,768
155,097
13,255
12,480
91,905
548,474
TL. Price
31.12.2000
12,888
73,056
31,134
62,594
3,393,422
34,803
20,586
38,707
91,699
479,726
44,502
21,561
15,584
15,865
23,796
21,126
78,469
7,537
9,166
3,245,494
6,990
10,173
20,257
120,471
4,277,197
6,409
8,335
348,008
16,554
15,141
2,100,098
5,373,829
7,199
57,042
106,999
91,628
8,455
21,974
7,738
9,871
311,379
9,836
30,830
2,904,056
81,353
8,788
6,713
48,083
396,373
Annual
Return
(%)
50.87
101.40
74.69
124.47
100.26
72.31
66.89
87.23
42.65
87.84
27.76
4.30
21.81
20.69
-100.00
34.40
54.76
122.82
101.83
48.65
27.72
96.50
2.54
22.96
81.68
38.99
72.52
48.14
52.00
53.47
73.92
106.81
48.26
30.49
73.84
92.78
58.17
54.63
26.42
26.53
-6.23
94.07
79.93
82.98
90.65
50.83
85.91
91.14
38.37
TABLE : 23 - "TYPE A" MUTUAL FUNDS
No
88
89
90
91
92
93
94
95
96
97
98
99
100
101
102
103
104
105
106
107
108
109
110
111
112
113
114
115
116
117
118
119
120
121
122
123
124
125
126
127
128
129
130
131
132
133
134
135
136
137
138
139
140
141
No of Shares
Asset Value in Circulation TL. Price
(TL. Billion) (Thousand) 31.12.2001
Name of the
Mutual Fund
MEKSA SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
MEKSA SECURITIES INC.TYPE A MIXED MUTUAL FUND
MNG BANKTYPE A VARIABLE MUTUAL FUND
NUROL SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
ORDU YARDIMLAŞMA KURUMUTYPE A VARIABLE MUTUAL FUND
OSMANLI BANKASI .TYPE A ISE NATIONAL-30 INDEXFUND
OSMANLI BANKASITYPE A VARIABLE MUTUAL FUND
OSMANLI BANKASITYPE A MIXED MUTUAL FUND
OSMANLI BANKASITYPE A FINANCIAL INS. SECTORFUND
OYAK SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
PAMUKBANKTYPE A VARIABLE MUTUAL FUND
RİVA SECURITIES INC..TYPE A VARIABLE MUTUAL FUND
SINAİ YATIRIM BANKASITYPE A VARIABLE MUTUAL FUND
SINAİ YATIRIM BANKASITYPE A MIXED MUTUAL FUND
STRATEJİ SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
SÜMERBANKTYPE A EQUITY MUTUAL FUND
SÜMERBANKTYPE A MIXED MUTUAL FUND
SÜMERBANK.TYPE A VARIABLE MUTUAL FUND
ŞEKERBANKTYPE A VARIABLE MUTUAL FUND
T. İŞ BANKASITYPE A FOREIGN SECURITIES FUND
T.C. ZİRAAT BANKASI TYPE A MIXED MUTUAL FUND
T.C. ZİRAAT BANKASITYPE A VARIABLE MUTUAL FUND
T.DIŞ TİCARET BANKASITYPE A VARIABLE MUTUAL FUND
T.DIŞ TİCARET BANKASITYPE A MIXED MUTUAL FUND
T.EKONOMİ BANKASI TYPE A NV.T.PERENCO DEĞ.PR.FUND
T.EKONOMİ BANKASI TYPE A GSD DEĞ.PRIVATE MUTUAL FUND
T.EKONOMİ BANKASITYPE A VARIABLE MUTUAL FUND
T.EKONOMİ BANKASITYPE A MIXED MUTUAL FUND
T.GARANTİ BANKASITYPE A VARIABLE MUTUAL FUND
T.GARANTİ BANKASITYPE A ISE NATIONAL-30 INDEXFUND
T.GARANTİ BANKASITYPE A MIXED MUTUAL FUND
T.HALK BANKASITYPE A MIXED MUTUAL FUND
T.İŞ BANKASITYPE A VARIABLE MUTUAL FUND
T.İŞ BANKASITYPE A EQUITY MUTUAL FUND
T.İŞ BANKASITYPE A ISE NATIONAL MALİ INDEXFUND
T.İŞ BANKASITYPE A ISE NATIONAL TECHNOLOGY INDEXFUND
T.İŞ BANKASITYPE A ISE NATIONAL-30 INDEXFUND
T.İŞ BANKASITYPE A PARTICIPATION FUND
T.İŞ BANKASITYPE A MIXED MUTUAL FUND
T.İŞ BANKASITYPE A METAL INDEXFUND
T.KALKINMA BANKASITYPE A VARIABLE MUTUAL FUND
T.KALKINMA BANKASITYPE A MIXED MUTUAL FUND
T.TİCARET BANKASITYPE A VARIABLE MUTUAL FUND
T.VAKIFLAR BANKASI TYPE A FOOD&BEV. SECTOR FUND
T.VAKIFLAR BANKASI TYPE A FINANCIAL INS. SECTORFUND
T.VAKIFLAR BANKASI TYPE A METAL SECTOR FUND
T.VAKIFLAR BANKASITYPE A VARIABLE MUTUAL FUND
TACİRLER SECURITIES INC..TYPE A MIXED MUTUAL FUND
TACİRLER SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
TAIB SECURITIES TYPE A VARIABLE MUTUAL FUND
TEB SECURITIES TYPE A VARIABLE MUTUAL FUND
TEB SECURITIES INC.TYPE A EQUITY MUTUAL FUND
TEKFENBANKTYPE A VARIABLE MUTUAL FUND
TEKFENBANKTYPE A MIXED MUTUAL FUND
976
3
329
9,042
3,786
196
1,700
3,490
115
442
2,230
376
380
288
517
540
493
438
344
74
1,452
4,401
2,507
2,418
5,392
638
23,732
4,639
22,526
4,594
7,413
1,035
11,249
17,452
824
789
10,847
14,504
1,424
494
1,071
979
371
252
266
421
345
4,046
1,530
1,100
794
3,866
644
313
17,889
235
16,580
30,746
10,843
26,302
12,566
21,994
5,497
32,066
87,390
6,070
7,839
26,350
2,489
45,303
2,612
875
2,956
6,901
105,800
508
241
70
92,800
8,868
10,991
9,565
2,360
655,859
1,260
174
8,569
2,155
74,521
100,576
1,307,301
2,718
106,491
40,516
1,424
66,954
682
4,439
4,115
5,961
101
20,611
9,204
12,662
6,930
356,677
5,201
20,343
54,576
13,609
19,830
294,097
349,169
7,458
135,293
158,661
20,934
13,793
25,515
61,868
48,527
10,948
207,781
11,931
188,696
501,186
116,333
10,673
13,725
8,672,836
10,418,003
34,588,819
58,100
71,953
2,159,105
485,053
9,545,230
7,005
5,882,426
5,941,349
1,312,725
8,099,508
11,057
7,849
8,297
5,336,875
13,370
12,191
751,735
14,624
544,447
56,776
64,751
70,614
3,419,068
196,294
166,246
86,907
114,508
10,838
123,735
15,368
Capital Markets Board of Turkey Annual Report 2001
TL. Price
31.12.2000
32,595
9,071
10,432
151,993
228,218
75,740
7,250
22,950
36,286
33,586
8,527
120,369
6,671
102,378
424,217
85,200
6,251,798
4,974,398
17,871,082
31,953
45,749
1,099,615
227,567
4,796,960
5,024
2,934,067
3,989,481
786,565
4,835,472
5,735
3,247,725
446,634
509,882
35,432
46,708
43,794
3,493,719
110,134
87,234
55,376
72,939
6,794
70,641
-
75
Annual
Return
(%)
67.43
50.02
90.09
93.49
53.00
109.48
90.25
11.18
70.50
44.49
28.39
72.62
78.84
84.31
18.14
36.54
38.73
109.43
93.55
81.83
57.28
96.35
113.15
98.98
39.43
100.49
48.93
66.89
67.50
44.69
64.33
68.31
6.78
60.24
38.63
61.24
-2.14
78.23
90.57
56.94
56.99
59.52
75.16
-
TABLE : 23 - "TYPE A" MUTUAL FUNDS
No
142
143
144
145
146
147
148
149
150
151
152
153
154
155
156
157
158
159
160
161
162
No of Shares
Asset Value in Circulation TL. Price
(TL. Billion) (Thousand) 31.12.2001
Name of the
Mutual Fund
TEKSTİL BANKASI TYPE A VARIABLE MUTUAL FUND
TEKSTİL SECURITIES INC. TYPE A VARIABLE MUTUAL FUND
TEKSTİLBANK TYPE A EQUITY MUTUAL FUND
TOPRAKBANK TYPE A VARIABLE MUTUAL FUND
TOPRAKBANK TYPE A MIXED MUTUAL FUND
TSKB TYPE A VARIABLE MUTUAL FUND
UB NATIONAL SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
YAPI KREDİ BANK TYPE A EQUITY FUND
YAPI KREDİ SECURITIES INC. TYPE A FOOD&BEV.SECTOR FUND
YAPI KREDİ SECURITIES INC.TYPE A FINANCIAL INS. SECTORFUND
YAPI KREDİ SECURITIES INC.TYPE A METAL SECTOR FUND
YAPI KREDİ SECURITIES INC.TYPE A TEXTILE SECTOR FUND
YAPI KREDİ SECURITIES INC. TYPE A EQUITY FUND
YAPI KREDİ SECURITIES INC.TYPE A ISE NATIONAL.30 INDEXFUND
YAPI KREDİ .SECURITIES INC.TYPE A MIXED MUTUAL FUND
YAPI KREDİ SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
YAPI VE KREDİ BANKASI TYPE A MIXED MUTUAL FUND
YATIRIM FİNANSMAN TYPE A VARIABLE MUTUAL FUND
YATIRIM FİNANSMAN TYPE A RESAN PRIVATE FUND
YKY SECURITIES INC.TYPE A YK INSURANCE EQUITY PRIVATE FUND
ZİRAAT SECURITIES INC.TYPE A VARIABLE MUTUAL FUND
TOTAL:
284
309
604
387
988
349
729
1,453
2,282
3,018
3,400
453
6,178
559
3,169
4,058
3,915
1,157
7,524
25,267
401
16,177
17,675
915
1,384
24,582
19,907
7,754
129,960
31,914
51,849
53,504
13,954
83,060
58,583
45,548
90,558
55,080
9,445
127,410
149,000
19,699
584,980
10,163,538
17,551
17,495
660,430
279,327
40,204
17,514
94,069
11,179
71,496
58,208
63,544
32,438
74,385
9,548
69,580
44,813
71,075
122,521
59,056
169,574
20,353
TL. Price
31.12.2000
10,303
394,834
166,898
24,525
10,697
51,235
8,139
40,726
40,682
35,988
16,488
55,735
39,072
22,866
44,138
77,382
37,168
92,283
10,604
Annual
Return
(%)
70.34
67.36
63.93
63.73
83.60
37.35
75.55
43.08
76.57
96.73
33.46
78.08
95.98
61.03
58.33
58.89
83.75
91.94
63.55
TABLE : 24 - "TYPE B" MUTUAL FUNDS
No
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
No of Shares
Asset Value in Circulation TL. Price
(TL. Billion) (Thousand) 31.12.2001
Name of the
Mutual Fund
ABN AMRO YAT.M.DEĞ. TYPE B VARIABLE FUND
ABN AMRO SECURITIES INC. TYPE B LIQUID FUND
AKBANK TYPE B VARIABLE FUND
AKBANK TYPE B LIQUID FUND
AKBANK TYPE B NOTES AND BONDS FUND
ALFA SECURITIES INC.TYPE B VARIABLE FUND
ALTERNATİFBANK TYPE B VARIABLE FUND
ALTERNATİFBANK TYPE B LIQUID FUND
ALTERNATİFBANK TYPE B NOTES AND BONDS FUND
ANADOLUBANK TYPE B VARIABLE FUND
ATA YAT.MEN.KIY. TYPE B VARIABLE FUND
ATA YAT.MEN.KIY. TYPE B LIQUID FUND
ATA SECURITIES INC. MEN.KIY. TYPE B FOREIGN SEC. FUND
BANKEKSPRES TYPE B VARIABLE FUND
BAYINDIR SECURITIES INC. TYPE B LIQUID FUND
DEMİR SECURITIES INC. TYPE B DEĞİŞKEN YAT.F.
DEMİRBANK TYPE B LIQUID FUND
DEMİRBANK TYPE B NOTES AND BONDS FUND
DENİZBANK TYPE B VARIABLE FUND
DENİZBANK TYPE B LIQUID FUND
DENİZBANK TYPE B NOTES AND BONDS FUND
ECZACIBAŞI SECURITIES INC. TYPE B LIQUID FUND
EGE GİYİM SAN. BANKASI TYPE B VARIABLE FUND
EGS SECURITIES INC. TYPE B VARIABLE FUND
EKİNCİLER SECURITIES INC. TYPE B VARIABLE FUND
76
Capital Markets Board of Turkey Annual Report 2001
4,363
2,460
2,522
243,435
10,275
1,241
2,467
9,724
1,040
4,199
6,807
40,256
265
4,765
2,055
3,657
71,511
2,020
4,421
19,272
984
18,026
51
1,878
30,988
192,642
198,953
54,613
6,052
6,247
10,992
17,630
97,113
168,328
35,208
637,292
12,731
18,707
8,293
20,000
9,473
102,319
40,228
207,956
12,049
18,714
920
3,309
140,780
12,768
12,679
4,457,416
1,697,779
198,720
224,405
551,550
10,714
24,946
193,341
63,168
20,821
254,721
247,757
182,872
7,549,090
19,739
109,903
92,671
81,636
963,255
152,770
55,624
567,515
TL. Price
31.12.2000
71,138
2,125,997
870,077
119,308
105,195
279,035
13,752
114,771
28,777
10,666
125,906
117,418
85,139
3,804,697
11,343
51,541
43,864
40,799
501,517
72,946
31,509
270,825
Annual
Return
(%)
97.90
109.66
95.13
66.56
97.66
68.46
119.51
95.21
102.31
114.79
98.41
113.23
111.27
100.09
92.07
109.43
76.53
109.55
TABLE : 24 - "TYPE B" MUTUAL FUNDS
No
26
27
28
29
30
31
32
33
34
35
36
37
38
39
40
41
42
43
44
45
46
47
48
49
50
51
52
53
54
55
56
57
58
59
60
61
62
63
64
65
66
67
68
69
70
71
72
73
74
75
76
77
78
79
No of Shares
Asset Value in Circulation TL. Price
(TL. Billion) (Thousand) 31.12.2001
Name of the
Mutual Fund
EKİNCİLER SECURITIES INC. TYPE B LIQUID FUND
ETİ SECURITIES INC. TYPE B VARIABLE FUND
ETİBANK TYPE B VARIABLE FUND
ETİBANK TYPE B LIQUID FUND
FİNANSBANK TYPE B LIQUID FUND
FİNANSBANK TYPE B NOTES AND BONDS FUND
GARANTİ SECURITIES INC.TYPE B NOTES AND BONDS FUND
GARANTİ SECURITIES INC. TYPE B LIQUID FUND
GEDİK SECURITIES INC. TYPE B VARIABLE FUND
GLOBAL SECURITIES INC. TYPE B LIQUID FUND
GLOBAL SECURITIES INC. TYPE B VARIABLE FUND
HSBC BANK TYPE B LIQUID FUND
HSBC BANK TYPE B NOTES AND BONDS FUND
İKTİSAT BANKASI TYPE B LIQUID FUND
İKTİSAT BANKASI TYPE B NOTES AND BONDS FUND
İSVİÇRE SİG.TYPE B LIQUID FUND
İŞ SECURITIES INC. TYPE B VARIABLE FUND
KENT SECURITIES INC. TYPE B LIQUID FUND
KENTBANK TYPE B FOREIGN SEC. FUND
KENTBANK TYPE B VARIABLE FUND
KENTBANK TYPE B LIQUID FUND
KENTBANK TYPE B NOTES AND BONDS FUND
KOÇ SECURITIES INC. TYPE B NOTES AND BONDS FUND
KOÇ SECURITIES INC. TYPE B VARIABLE FUND
KOÇBANK TYPE B VARIABLE FUND
KOÇBANK TYPE B LIQUID FUND
KOÇBANK TYPE B NOTES AND BONDS FUND
MNG BANK TYPE B LIQUID FUND
OSMANLI BANKASI TYPE B VARIABLE FUND
OSMANLI BANKASI TYPE B LIQUID FUND
OSMANLI BANKASI TYPE B NOTES AND BONDS FUND
OYAK SECURITIES INC.A TYPE B LIQUID FUND
OYAKBANK TYPE B VARIABLE FUND
PAMUKBANK TYPE B VARIABLE FUND
PAMUKBANK TYPE B LIQUID FUND
PARK REYMOND JAMES SEC. INC.. TYPE B VARIABLE FUND
SINAİ YATIRIM BANKASI TYPE B VARIABLE FUND
SINAİ YATIRIM BANKASI TYPE B LIQUID FUND
SİTEBANK TYPE B VARIABLE FUND
SÜMERBANK TYPE B VARIABLE FUND
SÜMERBANK TYPE B LIQUID FUND
SÜMERBANK TYPE B NOTES AND BONDS FUND
ŞEKERBANK TYPE B LIQUID FUND
T.C.ZİRAAT BANKASI TYPE B VARIABLE FUND
T.C.ZİRAAT BANKASI TYPE B LIQUID FUND
T.C.ZİRAAT BANKASI TYPE B NOTES AND BONDS FUND
T.DIŞ TİCARET BANKASI TYPE B VARIABLE FUND
T.EKONOMİ BANKASI TYPE B VARIABLE FUND
T.EMLAK BANKASI TYPE B VARIABLE FUND
T.EMLAK BANKASI TYPE B LIQUID FUND
T.EMLAK BANKASI TYPE B NOTES AND BONDS FUND
T.GARANTİ BANKASI TYPE B FOREIGN SEC. FUND
T.GARANTİ BANKASI TYPE B VARIABLE FUND
T.GARANTİ BANKASI TYPE B LIQUID FUND
1,091
528
763
986
50,352
1,685
285
5,606
1,999
2,407
5,125
50,918
23,451
5
331
3,361
26,386
629
105
341
0
33
999
122,911
327,479
252,719
17,154
1,210
2,303
44,735
973
2,074
3,450
3,210
79,958
2,514
4,432
2,407
423
5,549
44,104
2,464
38,372
2,041
313,378
14,240
23,584
56,668
9,898
12,474
11,192
1,049
21,707
446,170
24,986
25,346
70
150
4,032
118
230
228,357
5,852
202,191
153,833
343,823
780,887
240
28
36,981
464,535
22,461
6,089
1,973
80,462
1,663,892
125,574
8,398,606
34,996
49,585
32,375
479,681
9,325
186,691
18,760
323
4,768
122,215
5,500
138,174
4,931
580
236,285
12,715
194,311
166
16,157
1,284
585
75,960
1,467
452
498
48,834
2,405
24,261
43,646
20,845
10,920,245
6,567,920
12,487,622
14,218,756
1,239,299
24,551
341,516
11,906
33,318
148,094
30,031
19,667
11,952,607
90,886
56,801
28,011
17,274
0
0
16,630
12,415
73,870
2,607,856
30,091
490,164
24,394
71,124
93,259
104,376
11,111
183,923
9,939,492
16,771,452
20,570
805,909
17,418
85,836
9,558,357
186,654
193,803
197,477
12,296,093
19,395,522
11,090,335
40,337,047
746,030
6,744,792
27,621,213
22,460,190
21,490
9,025,736
18,390,628
Capital Markets Board of Turkey Annual Report 2001
TL. Price
31.12.2000
9,861
6,922,577
6,249,163
8,404,572
587,204
11,957
164,692
17,226
69,916
14,890
6,226,794
53,874
24,437
14,307
10,115
101,937
11,655
11,908
35,295
1,291,510
13,471
254,558
14,807
34,086
44,782
64,772
91,290
4,890,271
7,777,499
424,832
9,816
41,606
4,534,048
88,463
116,068
98,725
6,572,910
9,073,995
6,656,889
18,385,829
341,849
3,263,232
12,019,963
11,093,576
11,035
4,823,756
8,846,029
77
Annual
Return
(%)
111.39
57.75
69.18
111.05
105.33
107.37
93.41
101.69
91.95
68.70
132.44
95.78
70.79
-100.00
-100.00
39.65
123.38
108.66
108.25
103.25
115.64
89.70
77.44
106.31
110.81
66.97
100.03
87.07
113.75
66.60
119.39
118.23
106.69
129.79
102.46
94.75
87.11
107.90
TABLE : 24 - "TYPE B" MUTUAL FUNDS
No
80
81
82
83
84
85
86
87
88
89
90
91
92
93
94
95
96
97
98
99
100
101
102
103
104
105
106
107
108
109
110
111
112
113
114
115
No of Shares
Asset Value in Circulation TL. Price
(TL. Billion) (Thousand) 31.12.2001
Name of the
Mutual Fund
T.GARANTİ BANKASI TYPE B NOTES AND BONDS FUND
T.HALK BANKASI TYPE B VARIABLE FUND
T.HALK BANKASI TYPE B NOTES AND BONDS FUND
T.İŞ BANKASI TYPE B VARIABLE FUND
T.İŞ BANKASI TYPE B LIQUID FUND
T.İŞ BANKASI TYPE B NOTES AND BONDS FUND
T.İŞ BANKASI TYPE B FOREIGN SECURITIES FUND
T.KALKINMA BANKASI TYPE B VARIABLE FUND
T.TİCARET BANKASI TYPE B LIQUID FUND
T.TİCARET BANKASI TYPE B VARIABLE FUND
T.VAKIFLAR BANKASI TYPE B VARIABLE FUND
T.VAKIFLAR BANKASI TYPE B MIXED FUND
T.VAKIFLAR BANKASI TYPE B LIQUID FUND
T.VAKIFLAR BANKASI TYPE B NOTES AND BONS FUND
T.VAKIFLAR BANKASI TYPE B FOREIGN SEC. FUND
TAIB SECURITIES INC.. TYPE B VARIABLE FUND
TARİŞBANK TYPE B VARIABLE FUND
TARİŞBANK TYPE B LIQUID FUND
TEB SECURITIES INC. TYPE B LIQUID FUND
TEB SECURITIES INC. TYPE B NOTES AND BONDS FUND
TEKSTİL SECURITIES INC. TYPE B VARIABLE FUND
TEKSTİLBANK TYPE B VARIABLE FUND
TEKSTİLBANK TYPE B LIQUID FUND
TOPRAKBANK TYPE B VARIABLE FUND
TSKB TYPE B VARIABLE FUND
TSKB TYPE B NOTES AND BONDS FUND
YAPI KREDİ BANKASI TYPE B VARIABLE FUND
YAPI KREDİ BANKASI TYPE B LIQUID FUND
YAPI KREDİ BANKASI TYPE B NOTES AND BONDS FUND
YAPI KREDİ BANKASI TYPE B FOREIGN SEC. FUND
YAPI KREDİ SECURITIES INC. TYPE B NOTES AND BONDS FUND
YAPI KREDİ SECURITIES INC.TYPE B LIQUID FUND
YAPI KREDİ SECURITIES INC. TYPE B VARIABLE FUND
YATIRIM FİNANS.SECURITIES INC.TYPE B NOTES AND BONDS FUND
YATIRIM FİNANSMAN SECURITIES INC. TYPE B LİKİT F.
ZİRAAT SECURITIES INC. TYPE B VARIABLE FUND
TOTAL:
78
20,430
1,827
701
47,609
878,906
140,575
5,068
587
1,985
1,575
69,172
677
246,661
4,520
1,038
3,473
278
11,239
49,866
3,174
364
292
2,000
34,317
1,349
270
2,633
444,398
8,212
2,141
692
61,037
114
932
17,925
3,429
680
503
102
7,169
27,333
13,958
2,765
121
99,210
4,443
4,811
8,007
35,706
104
211
36,858
60
811
1,498,839
139,678
19,363
139
808
80,307
3,490
253
108
10,020
827
327
8,950
228,312
5,658
37,193
176,953
60,575
4,575,389
18,699,404
Capital Markets Board of Turkey Annual Report 2001
30,036,957
3,631,071
6,855,556
6,641,080
32,155,067
10,071,293
1,833,081
4,841,660
20,010
354,476
14,377,492
84,538
6,908,202
43,320,278
4,920,997
94,226
4,646,915
13,863,501
33,270
22,723
18,780
2,098,648
2,473,762
427,327
386,384
1,067,819
24,319,384
44,350,147
9,924,424
6,543,025
77,272
267,342
20,161
25,070
101,296
56,603
TL. Price
31.12.2000
18,536,962
2,967,844
5,536,701
3,310,389
16,985,038
5,715,458
1,044,545
4,966,691
177,539
6,831,955
54,647
3,232,668
26,102,978
2,822,334
47,682
2,155,558
6,593,143
15,490
10,782
1,054,341
1,165,536
195,033
200,828
701,232
12,522,769
21,117,365
5,622,504
2,920,404
56,325
124,059
12,784
13,764
52,146
28,987
Annual
Return
(%)
22.35
23.82
100.61
89.31
76.21
75.49
-2.52
99.66
110.44
54.70
113.70
65.96
74.36
97.61
115.58
110.27
114.79
110.75
99.05
92.40
52.28
94.20
110.02
76.51
124.05
37.19
115.50
57.70
82.15
94.25
95.27
88.07
Capital Markets Board of Turkey Annual Report 2001
79
American Growth
Portfolio (A)
American Growth
Portfolio (B)
Alliance International
Health Care Fund (A)
Alliance International
Health Care Fund (B)
American Income
Portfolio (A)(*)
American Income
Portfolio (B)(*)
Short Maturity Dollar
Portfolio (A)(*)
Short Maturity Dollar
Portfolio (B)(*)
Fidelty Funds
American Growth
Fidelty Funds
European Growth
CitiMoney USD(***)
1
2
3
4
5
6
7
8
9
10
11
NO
Name of the
Mutual Fund
01.06.1995
Lüksemburg
30.03.1988
Lüksemburg
30.03.1988
Lüksemburg
01.09.1994
Lüksemburg
01.09.1994
Lüksemburg
01.07.1993
Lüksemburg
01.07.1993
Lüksemburg
01.07.1993
Lüksemburg
01.06.1995
Lüksemburg
01.06.1994
Lüksemburg
01.01.1997
Lüksemburg
Date of Establishment
Place of Establishment
Citicurnencies Portfolios
Citibank N.A.Merkezi
New York, İstanbul
Citibank N.A.Merkezi
New York, İstanbul
Citibank N.A.Merkezi
New York, İstanbul
Alliance Capital S.A.
Eczacıbaşı Men.Değ.A.Ş.
Alliance Capital S.A.
Eczacıbaşı Men.Değ.A.Ş.
Alliance Capital S.A.
Eczacıbaşı Men.Değ.A.Ş.
Alliance International
Health Care Fund SICAV
Eczacıbaşı Men.Değ.A.Ş.
Alliance International
Health Care Fund SICAV
Eczacıbaşı Men.Değ.A.Ş.
Alliance Capital S.A.
Eczacıbaşı Men.Değ.A.Ş.
Alliance Capital S.A.
Eczacıbaşı Men.Değ.A.Ş.
Alliance Capital S.A.
Eczacıbaşı Men.Değ.A.Ş.
Managament Company
Local Agent
TABLO : 25 - FOREIGN MUTUAL FUNDS ISSUED IN TURKEY
01.08.1997
13.08.2001
13.08.2001
14.07.1997
14.07.1997
14.07.1997
14.07.1997
14.07.1997
14.07.1997
14.07.1997
14.07.1997
Beginning Date of
Sales in Turkey
2.731,9 Milyon $
7.395,7 Milyon Euro
694 Milyon $
425,5 Milyon $
1.302,6 Milyon $
679,8 Milyon $
1.022,5 Milyon $
Net Total
Asset Value
6,972.00
140,776.34
26,681.80
3,585
0
5,977
2,315
1,209
0
3,662
8,305
16,510,114
1,022,740
563,253
33,914
0
49,310
19,339
139,482
0
105,429
247,322
Total number of Total value of shares
shares circulation circulation in Turkey
in Turkey
USD $
2.368,06
7.265
21.11
9.46
9.46
8.25
8.25
115.37
126.25
28.79
31.61
Sale Price
USD $
DECEMBER 31,
2001
-
8.14
26.09
9.53
9.53
8.50
8.50
141.51
153.30
35.87
38.99
Sale Price
USD $
DECEMBER 31,
2000
-
-10.75
-19.09
-0.7
-0.7
-2.9
-2.9
-18.5
-17.6
-19.7
-18.9
Annual
Return
(%)
80
Capital Markets Board of Turkey Annual Report 2001
Global Bonds (Euro)Euro
Global Bonds (USD)-$
Lüksemburg
Global Balanced-$
Lüksemburg
World Equities-$
Lüksemburg
European EquitiesEuro
US Large Company
Euqities-$
16
17
18
19
20
21
15
14
13
Citiselect Portfolios
Citiselect Asia Tilt
Dengeli(**)
Citiselect Portfolios
Citiselect Asia Tilt
Büyüme(**)
Citiselect Portfolios
Citiselect Asia Tilt
Artan Büyüme(**)
USD Long Term Bonds
$
12
NO
Name of the
Mutual Fund
01.03.1995
Lüksemburg
01.03.1995
Lüksemburg
01.03.1995
01.03.1995
01.03.1995
01.03.1995
Lüksemburg
01.03.1995
Lüksemburg
17.06.1996
Lüksemburg
17.06.1996
Lüksemburg
17.06.1996
Lüksemburg
Date of Establishment
Place of Establishment
American Express Funds
Ak Yatırım Men.Değ.A.Ş.
American Express Funds
Ak Yatırım Men.Değ.A.Ş.
American Express Funds
Ak Yatırım Men.Değ.A.Ş.
American Express Funds
Ak Yatırım Men.Değ.A.Ş.
American Express Funds
Ak Yatırım Men.Değ.A.Ş.
American Express Funds
Ak Yatırım Men.Değ.A.Ş.
Citiselect Portfolios
Citibank N.A.Merkezi
New York, İstanbul
Citiselect Portfolios
Citibank N.A.Merkezi
New York, İstanbul
Citiselect Portfolios
Citibank N.A.Merkezi
New York, İstanbul
American Express Funds
Ak Yatırım Men.Değ.A.Ş.
Managament Company
Local Agent
TABLO : 25 - FOREIGN MUTUAL FUNDS ISSUED IN TURKEY
28.02.2000
28.02.2000
28.02.2000
28.02.2000
28.02.2000
28.02.2000
28.02.2000
01.08.1997
01.08.1997
01.08.1997
Beginning Date of
Sales in Turkey
12,6 Milyon $
140,4 Milyon Euro
16,3 Milyon $
13,5 Milyon $
23,4 Milyon $
120,7 Milyon Euro
4,2 Milyon $
52,9 Milyon $
88,3 Milyon $
68,9 Milyon $
Net Total
Asset Value
1,526.071
2,894.126
4,222.730
772.401
1,261.497
107.409
505.183
9,620.48
14,051.00
38,837.50
33,741
93,393
87,326
12,799
16,715
1,678
7,931
95,531
163,132
494,013
Total number of Total value of shares
shares circulation circulation in Turkey
in Turkey
USD $
22.11
32.27
20.68
16.57
13.25
15.62
15.70
9.93
11.61
12.72
Sale Price
USD $
DECEMBER 31,
2001
29.66
43.75
27.62
20.07
13.13
14.74
14.94
11.12
12.53
13.21
Sale Price
USD $
DECEMBER 31,
2000
-25.46
-26.24
-25.13
-17.44
0.91
5.97
5.09
-10.70
-7.34
-3.71
Annual
Return
(%)
TABLE : 26 - PORTFOLIO COMPOSITION OF "TYPE A" INVESTMENT COMPANIES (Percentage Distribution)
Shares
Government Bonds and Treasury Bills
Reverse Repo
Others
Port.Value (TL.Billion)
1996
1997
1998
1999
2000
2001
58.45
29.99
11.09
0.47
5,753
66.02
15.05
10.28
8.65
15,612
50.45
14.46
34.63
0.46
20,216
57.09
12.96
27.02
2.93
84,172
56.25
12.38
30.57
0.80
78,536
51.31
23.07
22.79
2.83
129,585
TABLE : 27 - "TYPE A" INVESTMENT COMPANIES
Portfolio Value
(TL.Billion)
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
AK Y.O.
ALTERNATİF Y.O.
ATA Y.O.
ATLANTİS Y.O.
ATLAS M.K.Y.O.
AVRASYA M.K.Y.O.
BUMERANG Y.O.
DEMİR Y.O.
ECZACIBAŞI Y.O.
EVREN M.K.Y.O.
FİNANS Y.O.
GARANTİ Y.O.
GEDİK Y.O.
GLOBAL M.K.Y.O.
İŞ Y.O.
MUSTAFA YILMAZ Y.O.
TAC Y.O.
VAKIF M.K.Y.O.
VARLIK Y.O.
YAPI KREDİ Y.O.
YATIRIM FİNANSMAN Y.O.
SYB Y.O.
TOTAL:
Net Asset Value
(TL.Billion)
12,457
4,895
2,687
2,011
3,457
604
690
988
1,501
3,737
10,878
2,709
820
2,755
49,733
407
8,893
3,504
1,438
13,686
725
1,010
129,586
Outstanding shares
(Million)
11,546
4,865
2,400
1,964
3,439
600
647
1,014
1,616
3,718
11,186
2,717
950
2,729
50,434
395
8,914
3,539
1,352
12,107
873
1,220
128,225
Stock Price
28.12.2001
6,000
1,735
500
1,000
858
262
450
450
875
950
5,850
250
250
740
30,000
675
1,995
1,700
500
3,330
563
750
59,682
Stock Price
22.12.2000
1,325
1,750
3,400
1,075
2,650
14,750
1,450
1,950
1,825
2,600
1,025
6,500
3,200
4,050
1,175
690
4,150
2,500
2,275
2,200
1,425
1,100
1,050
950
4,350
1,325
1,525
7,500
700
880
1,450
1,525
1,000
3,050
3,000
2,000
1,200
900
1,760
3,300
1,000
3,300
900
-
Annual
Return
(%)
26.19
84.21
-21.84
-18.87
73.77
96.67
107.14
121.59
25.86
70.49
2.50
113.11
6.67
102.50
-2.08
-23.33
135.80
-24.24
127.50
-33.33
58.33
48.98
Footnote:
(*) Net Assets= Portfolio Value + Liquid Assets+Accounts Receivable -Accounts Payable
TABLE : 28 – PORTFOLIO COMPOSITION OF REAL ESTATE INVESTMENT COMPANIES (Percentage Distribution)
Buildings and Land
Real Estate Certificates
Real Estate Backed Securities
Beneficial Rights
Development Projects
Securities
Reverse Repo
Others
Port.Value (TL.Billion)
1997
1998
1999
2000
2001
47.13
84.71
17.62
47.16
72.97
52.87
10.67
2.72
1.90
65.17
4.39
12.82
7,151
120,764
404,769
43.87
3.62
4.36
0.99
527,073
25.36
1.12
0.36
0.19
871,920
Capital Markets Board of Turkey Annual Report 2001
81
TABLE : 29 – REAL ESTATE INVESTMENT COMPANIES
Portfolio Value
(TL.Billion)
Net Asset Value
31.12.2001
(TL.Billion)
Outstanding
shares
(Million)
Stock Price
28.12.2001
Stock Price
22.12.2000
Annual
Return
(%)
ALARKO GAYRİMENKUL Y.O.
EGS GAYRİMENKUL Y.O.
İHLAS GAYRİMENKUL Y.O.
İŞ GAYRİMENKUL Y.O.
NUROL GAYRİMENKUL Y.O.
GARANTİ GAYRİMENKUL
Y.O.(***)
VAKIF GAYRİMENKUL Y.O.
YAPI KREDİ KORAY
GAYRİMENKUL Y.O.
49,209
221,342
13,785
414,725
29,202
103,394
182,220
16,162
397,972
18,642
3,565
50,000
5,883
235,690
10,000
17,750
1,425
1,300
2,400
9,200
650
870
2,000
2,025
92.93
(**)
63.79
-35.00
18.52
50,370
28,983
55,140
32,250
23,250
4,376
1,050
3,200
820
2,325
28.05
37.63
64,305
84,795
10,000
3,550
2,425
46.39
TOTAL:
871,920
890,575
342,764
36.05
(*) Net Assets = Portfolio Value + Liquid Assets + Accounts Receivable - Accounts Payable
TABLE : 30 - PORTFOLIO COMPOSITION OF VENTURE CAPITAL INVESTMENT COMPANIES (Percentage Distribution)
Venture Capital Investments
Reverse Repo
Others
Portfolio Value (TL. Billion)
2000
2001
54.18
45.78
0.04
3,304
57.18
5.69
37.13
3,893
TABLE : 31 - VENTURE CAPITAL INVESTMENT COMPANIES
PortfolioValue
(TL. Billion)
Net Asset
Value(*)
31.12.2000
(TL. Billion)
Outstanding
shares
(Million)
Stock Price
28.12.2001
Stock Price
22.12.2000
VAKIF RISK SERMAYESİ
YAT.ORT.A.Ş.
3,893
3,892
900
8,000
3,150
TOTAL:
3,893
3,892
900
(*)Net Assets = Portfolio Value + Liquid Assets + Accounts Receivable - Accounts Payable
82
Capital Markets Board of Turkey Annual Report 2001
Annual
Return
(%)
153.97
153.97
Capital Markets Board of Turkey Annual Report 2001
83

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