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1. Exposure to global equity indices, as defined by the Optimum Model (of Harel Finance) will not be less than 50%. 2. The fund manager intends to create the exposure through deals in futures a/o tracking funds, including ETF's – all on global equity indices. 3. Exposure to equities will not exceed 120% and will not be less than 50%. 4. Exposure to foreign currency will not exceed 120% and will not be less than (-120%). 5. Exposure to non-investment grade bonds will not exceed 120% and will not be less than (-120%). 6. There will be no exposure to credit risk of banking corporates and brokers which are not included in the first credit risk group. 7. The fund is a non-limited fund in foreign securities. 8. The fund manager is entitled to invest the fund's means at his absolute discretion, and he is entitled to determine the amount of cash included in the fund's assets from time to time.
Name | Title | Since | Until |
---|---|---|---|
Tamir Liron | - | 2023 | Now |
Moshe Rabnian | - | 2021 | 2023 |
Shay Zamir | - | 2016 | 2023 |
Alon Kushnir | - | 2009 | 2016 |
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