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Mtf Tr Index National Infrastruct Israel (0P0001JP5N)

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172.140 -0.210    -0.12%
20/02 - Closed. Currency in ILS
  • Morningstar Rating:
  • Total Assets: 191.8M
Type:  Fund
Market:  Israel
Issuer:  Migdal Mutual Funds Ltd
ISIN:  IL0051306046 
S/N:  5130604
Asset Class:  Equity
MTF TR Index National Infrastruct Israel 172.140 -0.210 -0.12%

0P0001JP5N Historical Data

 
Get free historical data for 0P0001JP5N fund. You'll find the end of day price of the Mtf Tr Index National Infrastruct Israel fund for the selected range of dates. The data can be viewed in daily, weekly or monthly time intervals. At the bottom of the table you'll find the data summary for the selected range of dates.
Time Frame:
01/22/2025 - 02/22/2025
 
Date Price Open High Low Change %
Feb 20, 2025 172.140 172.140 172.140 172.140 -0.12%
Feb 19, 2025 172.350 172.350 172.350 172.350 0.33%
Feb 18, 2025 171.790 171.790 171.790 171.790 0.67%
Feb 17, 2025 170.650 170.650 170.650 170.650 -0.50%
Feb 16, 2025 171.500 171.500 171.500 171.500 0.63%
Feb 13, 2025 170.420 170.420 170.420 170.420 1.62%
Feb 12, 2025 167.700 167.700 167.700 167.700 -1.10%
Feb 11, 2025 169.570 169.570 169.570 169.570 -0.66%
Feb 10, 2025 170.690 170.690 170.690 170.690 0.96%
Feb 09, 2025 169.060 169.060 169.060 169.060 -0.95%
Feb 05, 2025 170.690 170.690 170.690 170.690 1.92%
Feb 04, 2025 167.480 167.480 167.480 167.480 1.99%
Feb 03, 2025 164.220 164.220 164.220 164.220 -0.27%
Feb 02, 2025 164.670 164.670 164.670 164.670 0.45%
Jan 30, 2025 163.930 163.930 163.930 163.930 -0.43%
Jan 29, 2025 164.640 164.640 164.640 164.640 0.68%
Jan 28, 2025 163.530 163.530 163.530 163.530 -0.40%
Jan 27, 2025 164.180 164.180 164.180 164.180 -1.75%
Jan 26, 2025 167.100 167.100 167.100 167.100 -0.19%
Jan 23, 2025 167.420 167.420 167.420 167.420 -0.58%
Jan 22, 2025 168.390 168.390 168.390 168.390 -1.21%
Highest: 172.350 Lowest: 163.530 Difference: 8.820 Average: 168.196 Change %: 0.991
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