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Isp Asset Management 90/10 Il (0P0001ESCT)

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129.280 -0.120    -0.09%
02/12 - Closed. Currency in ILS
  • Morningstar Rating:
  • Total Assets: 154.12M
Type:  Fund
Market:  Israel
Issuer:  Ayalon Mutual Funds Ltd.
ISIN:  IL0051279805 
S/N:  5127980
Asset Class:  Bond
ISP Asset Management 10/90 129.280 -0.120 -0.09%

0P0001ESCT Overview

 
On this page you'll find an in-depth profile of Isp Asset Management 90/10 Il. Learn about the key management, total assets, investment strategy and contact information of 0P0001ESCT among other information.
Category

ILS Cautious Allocation, 10% Equity Cap

Total Assets

154.12M

Expenses

Inception Date

Oct 11, 2018

Investment Strategy

1. Exposure to any kind of bonds a/o deposits a/o cash will not be less than 90%, provided that the exposure to bonds traded in Israel will not be less than 75%. 2. Exposure to equities will not exceed, in absolute value, 10%. 3. Exposure to foreign currency will not exceed, in absolute value, 30%. 4. Total exposure to assets which are not bonds traded in Israel will not exceed 25%. 5. Exposure to non-investment grade bonds plus the exposure to credit risk of banking corporates or brokers which are not included in the first credit risk group will not exceed 10%. 6. The rest of the exposure will be determined at the absolute discretion of the fund manager. 7. The total value of foreign securities, units of foreign funds, tracking- open-end funds whose benchmark is a foreign index or commodity, and foreign currency that will be held in the fund plus the exposure to an underlying asset traded overseas through derivatives activity in overseas stock exchanges will not exceed 10%.

Contact Information

Address 12 Abba Hillel Silver str.
Ramat Gan, 52008
Israel
Phone +972-3-7567878
Fax +972-3-7567880

Top Executives

Name Title Since Until
Not Disclosed - 2018 Now
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