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Meitav Ta 125 Il (0P0000A76C)

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876.030 +13.660    +1.58%
02/04 - Delayed Data. Currency in ILS
Type:  Fund
Market:  Israel
Issuer:  Meitav DS Mutual Funds Ltd
ISIN:  IL0051004740 
S/N:  5100474
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 871.91M
Meitav Israel Equities 876.030 +13.660 +1.58%

0P0000A76C Historical Data

 
Get free historical data for 0P0000A76C fund. You'll find the end of day price of the Meitav Ta 125 Il fund for the selected range of dates. The data can be viewed in daily, weekly or monthly time intervals. At the bottom of the table you'll find the data summary for the selected range of dates.
Time Frame:
03/03/2025 - 04/03/2025
 
Date Price Open High Low Change %
Apr 02, 2025 876.030 876.030 876.030 876.030 1.58%
Apr 01, 2025 862.370 862.370 862.370 862.370 0.90%
Mar 31, 2025 854.720 854.720 854.720 854.720 -0.40%
Mar 30, 2025 858.110 858.110 858.110 858.110 -1.14%
Mar 27, 2025 868.010 868.010 868.010 860.430 0.88%
Mar 26, 2025 860.430 860.430 870.610 860.430 -1.17%
Mar 25, 2025 870.610 870.610 870.610 865.200 0.63%
Mar 24, 2025 865.200 865.200 885.720 850.380 1.74%
Mar 23, 2025 850.380 850.380 885.720 850.380 -3.99%
Mar 20, 2025 885.720 885.720 908.320 885.720 -0.50%
Mar 19, 2025 890.190 890.190 908.320 890.190 -1.46%
Mar 18, 2025 903.340 903.340 903.340 903.340 -0.97%
Mar 16, 2025 912.160 912.160 912.160 912.160 1.63%
Mar 13, 2025 897.500 897.500 897.500 897.500 0.74%
Mar 12, 2025 890.900 890.900 890.900 890.900 1.75%
Mar 11, 2025 875.600 875.600 875.600 875.600 -0.40%
Mar 10, 2025 879.110 879.110 879.110 879.110 -0.85%
Mar 09, 2025 886.630 886.630 886.630 886.630 1.22%
Mar 06, 2025 875.970 875.970 875.970 875.970 -0.72%
Mar 05, 2025 882.290 882.290 882.290 882.290 0.99%
Mar 04, 2025 873.630 873.630 873.630 873.630 -2.35%
Mar 03, 2025 894.690 894.690 894.690 894.690 1.51%
Highest: 912.160 Lowest: 850.380 Difference: 61.780 Average: 877.890 Change %: -0.607
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