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MGD EMERG MARKT |
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Summary |
Charts |
Historical Prices |
Fund Disclosures |
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Mutual Fund Number
05131339 |
Asset Value (NIS millions)
6.7 |
Mutual Fund Manager
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Mutual Fund Trustee
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MIGDAL MUTUAL FUNDS LTD
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ALMGOR - BRIGHTMAN TRUSTS LTD
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Classification
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Exposure profile:
4D
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Major
: Foreign Shares
Main
: Stocks, by Territory
Secondary
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Shares
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4 - Up to 120% of the fund's NAV
FX
: D - Up to 120% of the fund's NAV
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Tax Status
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Units are offered on
: Mon-Thu
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Features
Unlimited, foreign securities
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Purchase Price: | 521.28 |
Redemption Price: | 520.79 |
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As of 25/09/2024 *** |
Last Day Yield (%) | 0.63% |
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Yield MTD (%) | 10.55% |
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Yield YTD (%) | 24.11% |
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12 Month Yield (%) | 20.93% |
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Standard Deviation (26 weeks) | 2.25 |
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** Code | 4 |
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Management Fee (%) | 1.950% |
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Trustee Fee (%) | 0.050% |
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Distribution Commission | 0.35% |
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Sales Load (%) | 0% |
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Payment Policy | Cumulative Fund- Obligated not to distribute payments |
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Pressing 'Continue' will reset the chart to it's default!
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Mutual Fund Data is not adjusted to Dividends and Benefits |
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More Data From maya (Hebrew Only) |
Fund Details (Hebrew Only) |
Fund Disclosures (Hebrew Only) |
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** Code
1- The fund did not publish a prospectus 2- The fund's currency is not traded this day 3- The fund did not publish a prospectus & the fund's currency is not traded this day 4- Not traded on Sundays 5- Not listed in the TASE Clearing House 6- Announcement of the fund manager |
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*** The data for Tax Status, Manager, Specialization, Asset Value, Management Fee, Trustee Fee, Sales Load, Trustee, Dividend Policy is updated monthly. Last update 30/11/2017
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