Investing in technology,
Managing Funds with High-Tech!

TOTAL INVESTMENT
10.000
Select your investment amount to see the comparative returns of our funds.
₺10.000 ₺1.000.000
BV Portföy Technology Participation Fund
₺15.298
▲ 52.9814%
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BV PORTFÖY INSIGHTS

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Investment Funds

BV PORTFÖY ALTIN KATILIM FONU (BAI)

Birikimlerinizi, altının uzun vadeli değer koruma gücüyle ve faizsiz finans ilkelerine tam uyumlu şekilde değerlendirmenizi sağlar. Fiziki altın saklama derdi olmadan, altının getirisine katılım esaslarıyla ortak olun.

BV Portföy Money Market (TRY) Fund (BVF)

This fund is suitable for investors who wish to manage their investments in the short term while maintaining liquidity. The portfolio continuously invests in highly liquid money and capital market instruments with a remaining maturity of no more than 184 days.

BV Portföy Absolute Return-Oriented Equity Hedge (TRY) Fund (Equity-Intensive Fund) (BHI)

BHI is an equity-intensive fund managed with an absolute return objective rather than benchmark outperformance. By combining fundamental and technical analysis with algorithmic models, it seeks to capture opportunities independent of market direction.

BV Portföy Statistical Arbitrage Hedge (TL) Fund (BVZ)

Targets consistent and controlled returns through intraday arbitrage strategies by capturing market inefficiencies within nanoseconds using advanced algorithms and high-frequency trading technology.

BV Portföy First Flexible Fund (BVD)

The fund adopts a flexible asset allocation strategy across equities, fixed income securities, and money market instruments to adapt to varying market conditions. Its objective is to optimize asset distribution in response to changing economic and financial dynamics, delivering balanced and sustainable returns. Through active portfolio management, market opportunities are closely monitored, and the portfolio composition is dynamically adjusted while maintaining a balanced risk-return profile. This approach enables the fund to offer a flexible investment solution across different market cycles.

BV Portföy Hedge (Foreign Currency) Fund (BSD)

The BV Portfolio Free (Foreign Currency) Fund (BSD) is designed for investors seeking diversification and access to global markets through foreign currency-denominated assets. The majority of the portfolio consists of money and capital market instruments issued in foreign currencies, allowing investors to benefit from different currencies and global market dynamics.

BV Portföy First Hedge Fund (BIS)

This fund targets USD-based returns while allowing investment in TRY, offering portfolio growth through global arbitrage strategies and active currency hedging without taking FX risk.

BV Portföy Technology Participation Fund (BTK)

Managed in line with participation principles, the BTK Technology Participation Fund provides access to global technology leaders operating in transformative fields such as artificial intelligence, semiconductors, cloud computing, and digital transformation.

BV Portföy First Equity (TRY) Fund (Equity-Focused Fund) (BV1)

The BV1 Equity Intensive Fund invests in strong, high-growth companies listed on Borsa Istanbul. Through active portfolio management and a selective approach, it aims to capture market opportunities and deliver long-term value for investors.

BV Portföy Game and Technology Flexible Fund (BTE)

Gaming is no longer just entertainment—it is a global economy. BTE invests across a broad ecosystem from game developers to AI infrastructure, digital platforms, and chip manufacturers. It focuses on companies at the center of growth in a world reaching billions of users. The objective is to provide access to the fastest-growing areas of the digital economy.

Our Fund with the Highest Number of Investors

BV Portföy Robotics and Space Technologies Flexible Fund (RUT)

Robotics and space technologies are redefining the boundaries of the global economy. From satellite systems to autonomous robotics, from defense technologies to space exploration, this domain offers high growth potential and strategic importance. RUT invests in global companies at the center of this transformation, providing access to the industries shaping the future.

BV Portföy Technology Flexible Fund (BVV)

Artificial intelligence, data, and next-generation technologies are reshaping the global economy. BVV focuses on global technology companies at the center of this transformation, driven by innovative business models and scalable growth. Our goal is to provide investors with exposure to the opportunities created by this rapid technological evolution.

BV Portföy Second Equity Hedge Fund (Equity-Intensive Fund) (BVI)

The fund, which invests in BIST companies using fundamental analysis and quantitative methods, aims to achieve returns above the index by holding a minimum of 80% equities in its portfolio.

BV Portföy Materials Technologies Flexible Fund (MTD)

Material technologies form the foundation of the modern economy. MTD invests in companies operating in areas such as semiconductors, energy storage systems, and advanced materials. These technologies are at the core of sectors ranging from electric vehicles and defense to energy transition and advanced manufacturing. The objective is to provide access to long-term global growth opportunities in these areas.

BV Portföy Sports Industry Flexible Fund (SPR)

Sports is no longer just a field of competition; it is a multi-billion dollar global economy. From clubs and broadcasting rights to sponsorship revenues and sports technologies, this ecosystem offers diversified and scalable growth opportunities. BV Portfolio Sports Industry Variable Fund (SPR) provides investors with access to the financial growth of the global sports economy through a multi-layered investment approach.

BV Portföy Third Equity Hedge Fund (Equity-Intensive Fund) (KYR)

BV Portföy Third Equity Hedge Fund is an equity-intensive fund that invests at least 80% of its portfolio in equities traded on Borsa Istanbul and in exchange-traded funds that track indices composed of these equities. Through active management aligned with market conditions, the fund aims to generate medium- to long-term returns.

BV Portföy Yönetimi A.Ş. Joygame Pre-IPO Venture Capital Investment Fund (JOY)

Joygame, having grown 18 times in the last 2 years, is preparing to become Turkey's first publicly traded gaming company. The leading investment institution in the gaming industry, Boğaziçi Ventures and BV Portfolio, are partnering in this venture.

BV Portföy Yönetimi A.Ş. Boğaziçi Ventures Venture Capital Investment Fund (BVG), BV Growth

A dynamically managed venture capital fund targeting high returns by investing early in startups with high growth potential!

BV Portföy Yönetimi A.Ş. Synergy Venture Capital Investment Fund (BSG)

A Venture Capital Investment Fund (VCIF) that invests through secondary transactions in fast-growing technology companies backed by strong investors, targeting rapid value creation and regular annual dividend distributions, while providing an efficient GSYF structure to meet the 3% R&D incentive investment requirement.

BV Portföy Yönetimi A.Ş. Liquidity Trading Pre-IPO Venture Capital Investment Fund (BVS)

Liquidity Trading, which has recorded a 200% revenue growth in the last two years, is making a significant impact in capital markets with its AI-driven and high-tech HFT (High-Frequency Trading) solutions.

BV Portföy Yönetimi A.Ş. Istanbul Chamber of Industry Venture Capital Investment Fund (SOF)

This fund, which supports the innovative transformation of Turkish industry, aims to invest in scalable and sustainable industrial and technology-focused ventures!

BV Portföy Yönetimi A.Ş. Boğaziçi Ventures Second Venture Capital Investment Fund (BV2)

Positioned at the heart of Türkiye's tech ecosystem with an expansive global network, BV Growth II identifies early-stage AI leaders. We offer our partners more than just capital growth; we deliver a unique fusion of robust financial performance and transformative strategic synergy.

Coming Soon!

GreenWise Impact Investment (GII)

GreenWise invests in climate technologies through an AI-powered “smart investment” approach; accelerating the green and just transition while targeting measurable impact and strong financial returns.

BV Portföy Yönetimi A.Ş. Fark Labs Mobility Venture Capital Investment Fund (FAR)

The fund invests in innovative, scalable, and export-oriented technologies across the mobility and electrification value chain.

Coding the Future of Investment!

The investment world is undergoing a fundamental transformation. As traditional methods give way to data-driven, dynamic, and technology-powered systems, speed, precision, and foresight have become the cornerstones of success. At BV Portföy, we do not settle for being part of this transformation, we are shaping it.

Powered by our proprietary AI models and big data analytics infrastructure, we do not merely analyze markets, we generate deeper, forward-looking insights. By processing millions of data points in real time, we identify investment opportunities at an early stage and manage risks proactively.

Our thematic fund approach integrates this technological strength with a strategic perspective. By focusing on high-growth sectors such as artificial intelligence, fintech, gaming, and digital transformation, we offer our investors access not only to today’s winners, but to the champions of tomorrow.

What sets BV Portföy apart is our commitment to placing technology not merely as a tool, but at the very core of investment decision-making. Algorithm-driven processes combined with human expertise yield more balanced, more robust, and more sustainable portfolios.

Because we believe that the investments of tomorrow are built not on intuition, but on data; not by reacting, but by anticipating; not by following the market, but by leading it.

About BV Portföy
BV Portföy Absolute Return-Oriented Equity Hedge (TRY) Fund (Equity-Intensive Fund) (BHI)
TRENDING FUNDS

BV Portföy Absolute Return-Oriented Equity Hedge (TRY) Fund (Equity-Intensive Fund) (BHI)

BHI is an equity-intensive fund managed with an absolute return objective rather than benchmark outperformance. By combining fundamental and technical analysis with algorithmic models, it seeks to capture opportunities independent of market direction.

Discover the Fund
BV Portföy Money Market (TRY) Fund (BVF)
TRENDING FUNDS

BV Portföy Money Market (TRY) Fund (BVF)

This fund is suitable for investors who wish to manage their investments in the short term while maintaining liquidity. The portfolio continuously invests in highly liquid money and capital market instruments with a remaining maturity of no more than 184 days.

Discover the Fund
BV Portföy Hedge (Foreign Currency) Fund (BSD)
TRENDING FUNDS

BV Portföy Hedge (Foreign Currency) Fund (BSD)

The BV Portfolio Free (Foreign Currency) Fund (BSD) is designed for investors seeking diversification and access to global markets through foreign currency-denominated assets. The majority of the portfolio consists of money and capital market instruments issued in foreign currencies, allowing investors to benefit from different currencies and global market dynamics.

Discover the Fund
A better way to invest
Next-Generation Investment Approach

Next-Generation Investment Approach

We go beyond conventional investment thinking. Supported by big data analytics and algorithmic models, our strategies enable us to analyze market movements in real time and adapt swiftly to changing conditions. Our dynamic, technology-focused approach delivers both agility and analytical depth across investment processes.

Algorithmic Fund Management at Nanosecond Speed

Traditional portfolio management is no longer sufficient. BV Portföy redefines investment processes through algorithmic precision. Powered by big data and advanced analytical models, our infrastructure adapts instantaneously to shifting market conditions and continuously optimizes investment decisions. Speed, discipline, and a systematic approach are our benchmarks.

Early Access to Tomorrow’s Winners

With our thematic fund approach, we target not just the present — but the future. By focusing on high-growth areas such as artificial intelligence, technology, and digital transformation, we offer our investors first-mover advantage. Because real returns come from taking positions before trends emerge.

With the preference of 12,000+ investors, over TRY 15.8 Billion in assets under management
₺15.904.120.356

Selected Portfolio Companies

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