BV Portföy Articles
Portfolio Management During Crisis Periods
Global and local economic crises can arise due to various factors such as debt crises, liquidity crises, inflation shocks, and geopolitical tensions. The 2008 global financial crisis, the 2020 COVID-19 pandemic, and the geopolitical tensions after 2022 are recent examples of such crises.
RUT: Robotics, Space, Defense – Be a Partner in the New Generation of Power
The Impact of Central Bank Policies on Investor Decisions
BTE: Your Place in the Future of Gaming and Technology Arena
Next-Gen Investing: How Gen Z is Reshaping Portfolio Management
What Are Investors Looking for in 2025? Safe Haven or Smart Risk?
BSG – A New Synergy Through Smart Design in Venture Capital
The Rise of Artificial Intelligence in Portfolio Management
BHI – Technology-Enabled, Smart Fund Management with 0% Withholding Tax Advantage
SPR - Sports Industry Variable Fund: The Drive to Win in Your Portfolio
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