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Yelin Lapidot 30/70 (0P00016BNN)

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150.850 -0.360    -0.24%
25/04 - Closed. Currency in ILS ( Disclaimer )
  • Morningstar Rating:
  • Total Assets: 1.49B
Type:  Fund
Market:  Israel
Issuer:  Yelin Lapidot Mutual Funds Mgmt Ltd
ISIN:  IL0051217284 
S/N:  5121728
Asset Class:  Equity
Yelin Lapidot 30/70 150.850 -0.360 -0.24%

0P00016BNN Overview

 
Information on users’ sentiments for the Yelin Lapidot 30/70 fund, which are displayed both on charts of different periods of time and on a detailed table.
Start Date Username Call Open Rate End Date Chg. %
Mar 31, 2024 Leya Andrianova   152.250 Apr 25, 2024 @ 150.310 -1.27%
Mar 07, 2024 Omer Milner   150.740 Mar 28, 2024 @ 152.220 +0.98%
Jan 02, 2024 ben hakmon   146.690 Jan 25, 2024 @ 146.940 +0.17%
Oct 16, 2023 anechlee waewrot   142.500 Oct 16, 2023 @ 142.500 0.00%
Jun 06, 2023 ליאור פרחן   140.070 Nov 30, 2023 @ 143.900 +2.73%
Jun 01, 2023 צבי מינצר   140.120 Nov 30, 2023 @ 143.900 -2.70%
Aug 10, 2022 Jos Fridman   144.690 Sep 01, 2022 @ 144.020 -0.46%
Jun 06, 2022 BN Sheer   142.650 Jun 30, 2022 @ 141.450 +0.84%
May 22, 2022 Eli Butilkov   143.170 Jun 16, 2022 @ 137.670 +3.84%
Mar 08, 2022 אלי צח   148.660 Mar 31, 2022 @ 148.450 -0.14%
Jan 13, 2022 שחר קחילה   151.530 Feb 03, 2022 @ 149.490 -1.35%
Oct 18, 2021 אמנון כשר   147.400 Nov 11, 2021 @ 149.190 +1.21%
Jun 14, 2020 Nir Erez   124.160 Jul 09, 2020 @ 122.840 -1.06%
May 17, 2020 nit zuk   121.990 Jun 11, 2020 @ 123.970 +1.62%
Mar 16, 2020 Omri Hacohen   112.300 Apr 07, 2020 @ 115.420 -2.78%
Mar 08, 2020 דניאל סלע   126.540 Mar 08, 2020 @ 126.540 0.00%
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