GOK Monthly Returns % - GNG Monthly Returns % 3,2576 OLP Monthly Returns % - GOP Monthly Returns % 3,4548 GLU Monthly Returns % -0,9471 GLE Monthly Returns % - GLI Monthly Returns % 0,0081 OLG Monthly Returns % - GLL Monthly Returns % -
Professional Portfolio Management

Reliable and transparent management of your financial assets with your investment partner, Golden Global Portfolio

Creating portfolios that comply with Capital Markets Board (CMB) regulations, align with investors’ expectations, feature an optimized risk-return balance, and deliver long-term value.

About Us

About Us

Established in 2024 as a 100% subsidiary of Golden Global Investment Bank, Golden Global Portfolio has adopted interest-free portfolio management principles and provides portfolio management services to individual and institutional investors to help them achieve their return targets, in line with their risk preferences.

Golden Global Portfolio aims to offer high performance to a wide range of investors through investment funds it has established and managed with its expert team in the fields of Securities Funds, Venture Capital Funds, and Real Estate Funds. Golden Global Portfolio aims to provide both individual and institutional investors with high value-added portfolio management services in accordance with international interest-free finance standards.

Securities Funds

Real Estate Funds

Venture Capital Funds

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Who We Are

Who We Are

We set out to offer innovative, reliable, and sustainable solutions in investment funds and collective investment instruments, in line with international standards and interest-free finance principles. Our aim is to build a future shaped by ethical values ​​for institutional investors on a global scale and to be the address for quality, trust, and transparency in portfolio management. While contributing to our institutional investors' achievement of their long-term financial goals, we evaluate risk appetite, return expectations, liquidity needs, and changes in capital/money markets with a holistic approach. We create the most suitable portfolios for each institution, managing savings effectively, innovatively, and professionally while adhering to interest-free finance principles.

We are not just an institution that manages portfolios; we are also a reliable financial partner that creates value and is built on sustainable and ethical principles. We combine opportunities in financial markets with our expertise and knowledge, growing institutions' savings securely, and aiming to be one of Turkey's strong representatives in the international financial world.

Interest-Free, Corporate, Global

Guided by Ethics, Powered by Capital

We transform your savings into value, and value into the future.

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Why Us

Why Us

Choosing the right portfolio management company is one of the most critical steps to investment success. At Golden Global Portfolio, what sets us apart is our reliability, transparency, and sustainability.

All investment processes are conducted in an open, auditable, and reportable manner. With our personalized strategies, we apply a customized portfolio management approach for each investor, not a standard one. Investment decisions are supported by macroeconomic and microeconomic analyses, backed by a strong analytical infrastructure.

With our expertise in risk management, protecting capital and diversifying risks is our top priority.

With our expert team closely following global financial markets, we manage investment processes professionally by offering investment fund management, individual and corporate portfolio management, and alternative investment solutions.

Investment Fund Management

Individual and Institutional Portfolio Management

Alternative Investment Solutions

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Corporate Governance

Corporate Governance

Golden Global Portfolio conducts its operations in accordance with its corporate principles, in compliance with CMB regulations and international standards.

Transparency

Accountability

Responsibility

Our Vision;
To be a leading portfolio management company that stands out in financial markets for its reliability, performance, and corporate structure, and is the first choice of investors.

Our Mission;
To generate sustainable returns by managing our investors’ assets through sound strategy, effective risk management, and transparent processes.

Sound Strategy Effective

Risk Management

Transparent Processes

In line with the values that form the foundation of our corporate culture;
We build long-term relationships with our investors, maintain open communication throughout all processes, and manage investor assets with the utmost care.
We adopt a systematic approach to investment decisions.
We actively utilize financial technologies.

Reliability, Transparency, Accountability

Disciplined Investment Decisions

Innovation

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Board of Directors
Risk Management
CEO
Portfolio Management
Investment Advisory
Research Unit
Fund Services
Information Security
Accounting
Audit and Internal Control
Board of Directors
Risk Management
CEO
Portfolio Management
Investment Advisory
Research Unit
Fund Services
Information Security
Accounting
Audit and Internal Control

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Corporate Documents

Sustainability and Social Responsibility

Sustainability and Social Responsibility

Our responsible investment and sustainability approach is based on reducing environmental impacts, social responsibility projects, and an ethical investment philosophy

Reducing Environmental Impacts

Social Responsibility Projects

Ethical Investment Philosophy

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Human Resources

Human Resources

With our people-centered approach to organizational culture, our employees are our most valuable asset.

Continuous Development

Education and Career Planning

Performance-Based Management

Human Resources

News from Us

News from Us