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1. The fund will be managed according to the ISA's instructions for running a tracking fund. 2. The gap between the average duration of all the bonds included in the benchmark and the average duration of the bonds held in the fund will not exceed 6 months. 3. The gap between the average yield of the bonds included in the benchmark index and the average yield of the bonds included in the fund will not exceed 0.5%. 4. The fund manager will act to neutralize the currency of the index Eur versus ILS, in any case, the exposure to foreign currency will not be less than (-10%) and will not exceed 10%. 5. Exposure to credit risks of all the banking corporates and brokers which are not included in the first credit risk group will not exceed 20%. 6. Exposure to credit risk of a banking corporate or a certain broker, who is not included in the first credit risk rating group will not exceed 10%. 7.
Name | Title | Since | Until |
---|---|---|---|
Not Disclosed | - | 2019 | Now |
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