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Meitav 10/90 Active ! (0P0000NGZU)

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156.410 +0.120    +0.08%
20/01 - Closed. Currency in ILS ( Disclaimer )
Type:  Fund
Market:  Israel
Issuer:  Meitav DS Mutual Funds Ltd
ISIN:  IL0051147986 
S/N:  5114798
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 1.01B
Meitav 10/90 Active ! 156.410 +0.120 +0.08%
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Rating
1-Year Change4.67%
Prev. Close156.29
Risk Rating
TTM Yield0%
ROE11.53%
IssuerMeitav DS Mutual Funds Ltd
TurnoverN/A
ROA3.55%
Inception DateMar 22, 2010
Total Assets1.01B
ExpensesN/A
Min. Investment1
Market Cap18.87B
CategoryILS Cautious Allocation, 10% Equity Cap
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Performance

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Condition

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Status

YTD 3M 1Y 3Y 5Y 10Y
Growth of 1000 1064 1017 1064 1177 1207 1627
Fund Return 6.37% 1.67% 6.37% 5.59% 3.83% 4.99%
Place in category 74 69 74 44 24 5
% in Category 47 43 47 31 24 9

Top Bond Funds by Meitav Tachlit Mutual Funds Ltd

  Name Rating Total Assets YTD% 3Y% 10Y%
  Meitav MMkt for Ascending Interest 2.29B 0.16 0.23 -
  Meitav Bonds + 10% 2.08B 5.27 5.30 -
  Meitav Bond 1.15B 3.56 3.16 -
  Meitav Ex Tel Bond 60 Unlinked 1.11B 5.23 4.20 4.75
  Meitav Hoshen 1.1B 5.14 3.75 2.80

Top Funds for ILS Cautious Allocation, 10% Equity Cap Category

  Name Rating Total Assets YTD% 3Y% 10Y%
  Altshuler Shaham 90 10 2.87B 4.39 5.00 4.49
  More 90 10 2.32B 7.79 5.29 -
  IL0051279805 2.09B 5.90 9.24 -
  Meitav Bonds + 10% 2.08B 5.27 5.30 -
  Yelin Lapidot 90/10 1.58B 7.34 4.83 4.09

Top Holdings

Name ISIN Weight % Last Change %
  Government Linked 1.75% 29-09-23 IL0011280810 4.30 112.93 +0.01%
  Israel 1 31-MAR-2030 IL0011609851 3.26 98.90 +0.28%
  Government Fixed Rate 2% 31-03-27 IL0011393449 1.94 107.50 +0.08%
  Ella Deposits Ltd .618 01-Nov-2022 IL0011422156 1.67 105.720 +0.07%
  Government Linked 2.75% 30-09-22 IL0011240566 1.31 111.52 +0.01%

Technical Summary

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

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