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Meitav Portfolio Up To 30% (0P0000A7B3)

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68.500 -0.040    -0.06%
17/01 - Closed. Currency in ILS ( Disclaimer )
Type:  Fund
Market:  Israel
Issuer:  Meitav DS Mutual Funds Ltd
ISIN:  IL0051023302 
S/N:  5102330
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 582.34M
Meitav Portfolio up to 30% 68.500 -0.040 -0.06%
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Rating
1-Year Change7.62%
Prev. Close68.54
Risk Rating
TTM Yield0%
ROE24.24%
IssuerMeitav DS Mutual Funds Ltd
TurnoverN/A
ROA8.52%
Inception DateFeb 13, 2002
Total Assets582.34M
ExpensesN/A
Min. Investment1
Market Cap20.78B
CategoryILS Cautious Allocation
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Performance

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YTD 3M 1Y 3Y 5Y 10Y
Growth of 1000 1093 1028 1093 1229 1304 1199
Fund Return 9.26% 2.85% 9.26% 7.12% 5.45% 1.83%
Place in category 87 71 87 74 20 -
% in Category 44 34 44 43 16 -

Top Equity Funds by Meitav Tachlit Mutual Funds Ltd

  Name Rating Total Assets YTD% 3Y% 10Y%
  Meitav 20 80 2.26B 8.81 8.46 -
  Meitav Model + 15 806.62M 8.17 6.07 4.52
  Meitav 70 30 Focused Management 598.35M 10.49 7.36 -
  Meitav Bond Portfolio + 30 592.7M 9.79 7.49 5.27
  Meitav 30 70 578.52M 11.52 9.30 3.96

Top Funds for ILS Cautious Allocation Category

  Name Rating Total Assets YTD% 3Y% 10Y%
  Meitav 20 80 2.26B 8.81 8.46 -
  Yelin Lapidot 30 70 2.12B 13.42 9.97 -
  Yelin Lapidot 20/80 1.55B 10.12 6.90 5.44
  Barometer Bonds 15/85 1.5B 9.18 7.71 5.68
  IL0051259500 1.41B 7.96 9.91 -

Top Holdings

Name ISIN Weight % Last Change %
  Israel .5 31-May-2029 IL0011570236 4.27 119.790 -0.03%
ILFRNO 11/21 IL0011276461 3.93 - -
  Government Galil 4% 31-07-24 IL0095904319 3.63 150.80 -0.06%
  Israel 0 29-NOV-2030 IL0011665523 3.59 99.35 0.00%
  Government Linked 1.75% 29-09-23 IL0011280810 3.32 112.93 -0.12%

Technical Summary

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

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