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1. Exposure to bonds, including certificates of deposit, will not be less than 50%. 2. The fund manager will look frequently changes in market conditions which might create profitability for moving between one investment channel to the other. 3. Exposure to equities will not exceed 50% and will not be less than (-50%). 4. Exposure to foreign currency will not exceed 50% and will not be less than (-50%). 5. Exposure to non-investment grade bonds will not exceed 50% and will not be less than (-50%). 6. There will be no exposure to cash and deposits deposited in banks which are not included in the first credit risk rating group. 7. The total value of all foreign securities, units of foreign funds and foreign currency that shall be held in the fund plus the exposure to an underlying asset traded overseas through activities in derivatives on overseas stock exchanges may exceed 10% of its net asset value.
Name | Title | Since | Until |
---|---|---|---|
Boaz Ravid | - | 2018 | 2024 |
Ronen Gershon | - | 2017 | 2018 |
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