Meitav Gold (0P0000A77J)

94.580 -1.010 (-1.06%)
Close ILS Disclaimer
31.2M
Day's Range
94.580 - 94.580
52 wk Range
74.690 - 101.980
Prev. Close
95.590
Open
94.580
1-Year Change
22.42%
Total Assets
31.2M
Market Cap
37.52B
ROE
5.60%
ROA
3.97%
Dividend (Yield)
0%
Turnover
-
Min Investment
1
Type
Funds
Market
Israel
Rating
Risk Rating
ISIN
IL0051009616
CUSIP
5100961
Underlying
-
Expenses
-
Asset Class
Commodity
Inception Date
Mar 02, 2000
Strong Sell Strong Buy Sell Neutral Buy
Buy
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PERFORMANCE
YTD
3M %
1Y %
3Y %
5Y %
10Y%
Growth of 1000 1103 993 1297 979 1529 1115
Fund Return 10.29% -0.71% 29.65% -0.72% 8.86% 1.09%
Place in category 154 183 80 107 79 47
% in Category 63 79 40 65 51 53
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Meitav Gold News & Analysis

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