Meitav 80/20 Il (0P000177AK)

132.680 -0.030 (-0.02%)
Close ILS Disclaimer
1.35B
Day's Range
132.680 - 132.680
52 wk Range
126.310 - 133.690
Prev. Close
132.710
Open
132.680
1-Year Change
2.83%
Total Assets
1.35B
Market Cap
84.9B
ROE
25.84%
ROA
9.07%
Dividend (Yield)
0%
Turnover
-
Min Investment
-
Type
Funds
Market
Israel
Rating
Risk Rating
ISIN
IL0051226012
CUSIP
5122601
Underlying
-
Expenses
-
Asset Class
Equity
Inception Date
Dec 16, 2015
Strong Sell Strong Buy Sell Neutral Buy
Strong Buy
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PERFORMANCE
YTD
3M %
1Y %
3Y %
5Y %
10Y%
Growth of 1000 1044 1027 1010 1089 1191 -
Fund Return 4.36% 2.66% 1.03% 2.89% 3.56% -
Place in category 155 118 108 92 27 -
% in Category 63 47 46 52 19 -
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Meitav 20/80 News & Analysis

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