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Meitav Rated A And Above Il (0P0000A767)

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247.700 +0.130    +0.05%
22/08 - Delayed Data. Currency in ILS ( Disclaimer )
  • Morningstar Rating:
  • Total Assets: 224.9M
Type:  Fund
Market:  Israel
Issuer:  Meitav DS Mutual Funds Ltd
ISIN:  IL0051003833 
S/N:  5100383
Asset Class:  Bond
Meitav rated 247.700 +0.130 +0.05%

0P0000A767 Overview

 
Find basic information about the Meitav Rated A And Above Il mutual fund such as total assets, risk rating, Min. investment, market cap and category. Learn about the fund's agencies rating and risk rating, transparent information about the fund's management personal, policies of invested allocation and diversification, past performance. In addition we provide you related news, analysis tools, interactive charts and analysis articles. You may add 0P0000A767 MF to your portfolio and watchlist to keep track with the fund's performance and users commentary.
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Rating
1-Year Change3.71%
Prev. Close247.57
Risk Rating
TTM Yield0%
ROE12.18%
IssuerMeitav DS Mutual Funds Ltd
TurnoverN/A
ROA4.38%
Inception DateDec 27, 1998
Total Assets224.9M
ExpensesN/A
Min. Investment1
Market Cap26.21B
CategoryILS Corporate & Convertible Bond
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Performance

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Condition

Frequency

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%

Frequency

Frequency

Delivery Method

Status

YTD 3M 1Y 3Y 5Y 10Y
Growth of 1000 1009 1005 1031 999 1032 1138
Fund Return 0.89% 0.53% 3.06% -0.02% 0.63% 1.3%
Place in category 164 188 170 116 90 -
% in Category 85 91 95 83 85 -

Top Bond Funds by Meitav Mutual Funds Ltd

  Name Rating Total Assets YTD% 3Y% 10Y%
  Meitav Bonds + 10% 1.05B 2.36 1.40 -
  Meitav Bond 665.12M 1.26 0.39 -
  Meitav Hoshen 605.47M 0.84 0.80 1.59
  Meitav Money Market for Rising In 604.06M 7.27 8.57 2.41
  Meitav Ex Tel Bond 60 Unlinked 497.27M 3.22 1.05 2.02

Top Funds for ILS Corporate & Convertible Bond Category

  Name Rating Total Assets YTD% 3Y% 10Y%
  Yelin Lapidot Corporate Bonds 975.1M 2.51 1.70 -
  Yelin Lapidot A and Above upto 4 Y 814.97M 1.55 0.94 -
  IL0051277098 604.44M 1.29 0.03 -
  Forest Investment Grade Bonds 539.34M 3.19 2.91 2.66
  More Managed Bond Portfolio ! 530.69M 3.99 3.12 3.22

Top Holdings

Name ISIN Weight % Last Change %
  AMOT B6 AMOT 1.14 03-OCT-2029 IL0011586091 2.32 107.600 -0.03%
  Israel Corporation Ltd 2.74 31-Jul-2030 IL0057603271 2.20 91.150 +0.05%
  ISRAS B16 - ISRS 2.4 30-JUL-2031 IL0061302233 2.18 113.320 +0.10%
  Phoenix B6 IL0076703342 2.18 87.05 +0.21%
  Migdal Insurance Funds Raising 5.17 31-May-2035 IL0011920795 2.11 99.550 +0.13%

Technical Summary

Type Daily Weekly Monthly
Moving Averages Buy Buy Buy
Technical Indicators Strong Buy Strong Buy Strong Buy
Summary Strong Buy Strong Buy Strong Buy
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