Our Investment Philosophy
The company's portfolio management approach, which is comprehensively defined, can be summarized under a few main headlines:
- Accepting the fact that inflation and interest rates are one of the determinants of global finance market activities,
- Taking universal trends in society, economy and technology into consideration,
- Having a global macro strategy,
- Giving liquidity prominence in the short term,
- Believing that shares will be more profitable than any other investment means in the long term,
- Concentrating on certain sector strategies,
- Carrying out investment operations with a firm discipline,
- Updating strategies constantly.

