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1. Exposure to bonds of cash flow companies including bond certificate deposits, excluding convertible bonds which create exposure to equities, will not be less than 75%, provided that the exposure to the above-mentioned bonds which are not certificates of deposit, will not be less than 50%. 2. All of the fund's assets will be only the following assets: bonds of 'cash-flow companies' (including bond certificates of deposit), AA rated bonds and above, government bonds including short-term loans, cash and term deposits. The average rating of the fund's bond portfolio will not be less than A+. 3. The average duration of all the fund's assets will not exceed 3 years. 4. The average duration of each of the bonds held by the fund will not exceed 3.5 years. 5. The fund will not create exposure to equities a/o non-investment grade bonds. 6. Exposure to foreign currency will not exceed, in absolute value, 10%.
Name | Title | Since | Until |
---|---|---|---|
Tal Kahalani | - | 2012 | 2021 |
Biography | Sigma P.C.M. Mutual Funds Mgmt (1992)Ltd | ||
Yair Shani | - | 2016 | 2017 |
Uri Galai | - | 2009 | 2016 |
Dan Galai | - | 2009 | 2012 |
Biography | CEO and member of Investment Committee |
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