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World Funds

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Israel - Funds

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 Meitav Liquidity Management Money Mkt IL0P0001.1,068.190+0.03%7.12B26/05 
 Meitav Money Market IL0P0001.1,084.520+0.03%5.03B26/05 
 Meitav Shekel Money Market Kosher IL0P0001.1,061.470+0.04%4.96B26/05 
 Meitav Bonds + 10%0P0001.126.350-0.04%1.09B26/05 
 Meitav Bond0P0001.115.110-0.13%680.64M26/05 
 Meitav Hoshen0P0000.165.010-0.10%666.22M26/05 
 Meitav USD Money Market for Rising Intrst0P0000.75.930+0.04%623.58M23/05 
 Meitav Ex Tel Bond 60 Unlinked!LP6503.177.380-0.02%526.29M26/05 
 Meitav Government Managed Focused0P0001.104.430-0.15%516.41M26/05 
 Meitav 10/90 Active !0P0000.157.860-0.11%498.47M26/05 
 Meitav Israel Bonds0P0001.111.620-0.12%464.28M26/05 
 Meitav Focus Management Bonds0P0001.121.090-0.10%411.03M26/05 
 Meitav Linked0P0001.113.160-0.04%390.75M26/05 
 Meitav rated Security Bond !0P0001.131.600-0.03%376.34M26/05 
 Meitav Government Managed !0P0000.129.190-0.15%356.89M26/05 
 Meitav Dollar Bonds !0P0000.161.090-0.11%327.82M23/05 
 Tachlit TTF CPI-Linked Gov Bds 2-5Yrs0P0000.107.490-0.04%313.48M26/05 
 Meitav DS Bond A - Security Component !LP6503.187.190-0.07%248.18M26/05 
 Meitav rated0P0000.244.810-0.09%231.59M26/05 
 Meitav High Yield without Stock!LP6504.316.460-0.01%220.73M26/05 
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