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Israel - Funds

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 I.B.I Government Plus A and Above0P0001.112.270+0.16%977.62M02/05 
 Meitav Government Managed Focused0P0001.104.700+0.14%522.57M02/05 
 Meitav Israel Bonds0P0001.111.500+0.15%490.53M02/05 
 Forest Lake !0P0000.168.800+0.09%421.66M02/05 
 Meitav Government Managed !0P0000.129.540+0.12%359.02M02/05 
 Altshuler Shaham Government Bonds no Eq0P0000.123.310+0.15%296.47M02/05 
 MTF Government BondsLP6812.124.460+0.23%289.06M02/05 
 Excellence Non-CPI Shekel0P0000.130.9+0.16%267.35M02/05 
 Migdal Government Bonds no Corp0P0000.117.400+0.16%262.27M02/05 
 MTF Gvt Bd Fixd Intrst 2-5Yr Shkl Ser-20P0001.101.240+0.12%249.17M02/05 
 More Solid0P0001.108.550+0.12%212.65M02/05 
 Harel Government Bonds0P0000.123.540+0.19%212.61M02/05 
 More Managed Government Bonds0P0001.109.790+0.16%196.48M02/05 
 Excellence General Bond0P0000.148.6+0.17%185.51M02/05 
 Epsilon Government Bonds Without Stocks0P0001.107.300+0.15%175.69M02/05 
 Analyst Government Bonds up to 5 Years Without Equ0P0001.107.530+0.15%174.45M02/05 
 KESEM KTF General Government BondLP6812.136.620+0.23%172.13M02/05 
 Tachlit TTF Government Unlinked Fixed Rate 2-5YrLP6508.64.930+0.12%156.62M02/05 
 Yelin Lapidot Government - Rated AA0P0001.107.210+0.15%148.56M02/05 
 KESEM KTF Fixed Rate Shekel Gov Bd 2-5YrLP6812.131.860+0.11%127.15M02/05 
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