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Meitav Bonds + 10% Il (0P00019GZJ)

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125.910 +0.050    +0.04%
30/04 - Closed. Currency in ILS ( Disclaimer )
Type:  Fund
Market:  Israel
ISIN:  IL0051238728 
S/N:  5123872
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 1.1B
Meitav Bonds + 10% 125.910 +0.050 +0.04%

0P00019GZJ Holdings

 
Comprehensive information about top holdings and Key Holding Information for the Meitav Bonds + 10% (0P00019GZJ) fund. Our Meitav Bonds + 10% portfolio information includes stock holdings, annual turnover, top 10 holdings, sector and asset allocation.

Asset Allocation

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Name  Net %  Long %  Short %
Cash 5.490 5.770 0.280
Stocks 7.310 7.310 0.000
Bonds 85.770 85.770 0.000
Other 1.420 1.420 0.000

 Style Box

Value & Growth Measures

Ratios Value Category Average
P/E Ratio 10.626 10.009
Price to Book 1.628 1.540
Price to Sales 1.431 1.274
Price to Cash Flow 7.051 7.044
Dividend Yield 3.196 3.662
5 Years Earnings Growth 13.983 12.269

Sector Allocation

Name  Net % Category Average
Financial Services 23.100 23.899
Technology 22.740 17.150
Industrials 14.400 10.359
Real Estate 14.110 15.296
Energy 8.300 8.151
Healthcare 5.630 7.741
Consumer Cyclical 4.490 6.693
Utilities 4.440 5.507
Communication Services 2.240 6.922
Consumer Defensive 0.560 6.036

Region Allocation

  • North America
  • Europe Developed
  • Africa & Middle East
  • Developed Markets

Top Holdings

Number of long holdings: 292

Number of short holdings: 1

Name ISIN Weight % Last Change %
  Makam 1214 Dec 24 IL0082412185 3.49 97.56 +0.06%
  Israel 1 31-MAR-2030 IL0011609851 2.38 82.23 +0.21%
  Israel 1.3 30-Apr-2032 IL0011806606 2.34 78.000 -0.01%
  Makam 614 Jun 24 IL0082406161 2.05 99.59 +0.04%
  Israel 2.25 28-Sep-2028 IL0011508798 1.73 92.650 +0.08%
  Israel .5 31-May-2029 IL0011570236 1.45 107.000 -0.06%
  Government Floating Rate 0.1% 31-05-26 IL0011417958 1.24 99.81 +0.03%
  Harel Sal (4A) TA 125 IL0011488991 1.21 1,937 +0.94%
The Bank of Israel IL0082404182 1.12 - -
  GAV YAM B6 BYSD 4.75 31-MAR-2026 IL0075901285 1.10 141.890 0.00%

Top Bond Funds by Meitav Mutual Funds Ltd

  Name Rating Total Assets YTD% 3Y% 10Y%
  Meitav Hoshen 683.37M 0.78 1.39 1.66
  Meitav Bond 675.29M 0.94 0.61 -
  Meitav Money Market for Rising In 647.76M 2.62 5.89 1.78
  Meitav Ex Tel Bond 60 Unlinked 534.9M 2.03 1.14 1.95
  Meitav Government Managed Focused 522.57M 0.04 -0.44 -
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