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880.38M
Aug 19, 2014
1. At least 75% will be exposed to cpi-linked government bonds traded in Israel. 2. Exposure to assets which are not as specified above excluding cash, term deposits and assets eligible for holding in a money-market fund without corporae will not exceed 25%. 3. Average duration of the fund's bond portfolio will not be less than 1.5 years and will not exceed 5 years. 4. Average duration of the CPI-linked government bond portfolio will not be less than 2 years and will not exceed 4 years. 5. The fund will not create exposure to equities, forex and non-investment grade bonds. 6. Exposure to credit risk of all the banking corporates and brokers which are not included in the first credit risk group will not exceed 20%. 7. Exposure to credit risk of a banking corporate or certain broker which is not included in the first credit risk group will not exceed 10%. 8. The rest of the fund's assets will be invested at the total discretion of the fund manager.
Name | Title | Since | Until |
---|---|---|---|
Noam Deutsch | - | 2018 | Now |
Asaf Shaul | - | 2016 | 2018 |
Shiri Ben-Shach | - | 2014 | 2016 |
Biography | Director and member of Investment Committee |
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