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1. Exposure to any kind of bonds traded in Israel will not be less than 75%. 2. Cumulative exposure to assets which are not as specified above, will not exceed 25%. 3. There will be no exposure to equities a/o forex a/o non-investment grade bonds. 4. Exposure credit risk of all the banking corporates and brokers which are not included in the first credit risk group will not exceed 20%. 5. 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%. 6. The total value of foreign securities, units of foreign funds, tracking- open-end funds whose benchmark is a foreign index or commodity, and foreign currency that will be held in the fund plus the exposure to an underlying asset traded overseas through derivatives activity in overseas stock exchanges will not exceed 10%. 7. The rest of the fund's assets will be invested at the total discretion of the fund manager.
Name | Title | Since | Until |
---|---|---|---|
Pinchas Biton | - | 2023 | Now |
David Vardi | - | 2022 | 2023 |
Harel Sharifi | - | 2019 | 2023 |
Tzafrir Sharifi | - | 2019 | 2020 |
Tal Kahalani | - | 2012 | 2019 |
Biography | Sigma P.C.M. Mutual Funds Mgmt (1992)Ltd | ||
Yair Shani | - | 2016 | 2017 |
Uri Galai | - | 2008 | 2016 |
Dan Galai | - | 2008 | 2012 |
Biography | CEO and member of Investment Committee |
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