כניסה

Current Value of Mutual Funds' Assets
The information below is based on data reported to the Israel Securities Authority by the Tel Aviv Stock Exchange Clearing House. It does not include units registered directly in the unit holders' record of a mutual fund manager. The portion of all units directly registered is below 0.5 percent and the number is expected to decrease over time, due to the fact that new units can no longer be directly registered.

On December 31st, 2011 the list of mutual fund titles, for the purpose of funds classification, was updated.
As of this date, data relating to mutual funds are presented on this web-site in accordance with the updated list.
Data relating to the period preceding the update, alongside the updated data, are presented in accordance with the updated titles.
Data pulled out specifically for the period preceding the update, will be presented in accordance with the former classification.
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Net Asset value from
till
Fund classification Funds Count Net Asset
value on 20/09/2023
(%)
Net Asset
value on 31/08/2023
(%)
Change this month Net Asset
value on 29/12/2022
(%)
Change this year
Flexible463831
(0.9%)
3860
(0.9%)
-293942
(1.1%)
-111
Israeli Equity28163535
(14.8%)
62604
(14.7%)
93163127
(17.1%)
407
Global Equity61784990
(19.8%)
85620
(20.1%)
-63058644
(15.9%)
26346
Leverage & Strategic622358
(0.5%)
2462
(0.6%)
-1042018
(0.5%)
340
Money market funds4194953
(22.1%)
90307
(21.2%)
464650271
(13.6%)
44682
Israeli Fixed Income - Government22323500
(5.5%)
24002
(5.6%)
-50229119
(7.9%)
-5619
Israeli Fixed Income - Corporate and Convertibles40168891
(16%)
68934
(16.2%)
-4368997
(18.7%)
-106
Israeli Fixed income - Broad Market- Composite45876403
(17.8%)
76553
(18%)
-15085199
(23.1%)
-8796
Global Fixed Income969400
(2.2%)
9140
(2.1%)
2605314
(1.4%)
4086
Limited for Foreign Residents216
(0%)
16
(0%)
015
(0%)
1
Commodities9331
(0.1%)
334
(0.1%)
-3377
(0.1%)
-46
Fund of Funds281056
(0.2%)
1057
(0.2%)
-1823
(0.2%)
232
Closed-End Fund1565
(0.1%)
572
(0.1%)
-7547
(0.1%)
18
Other219
(0%)
19
(0%)
0218
(0.1%)
-199
Mutual Hedge Fund18111
(0%)
111
(0%)
00
(0%)
Total - Actively Managed Funds 1161 245084
(57%)
241057
(56.6%)
4027 213735
(58%)
31349
Total - Tracking funds (not traded) 643 69706
(16.2%)
70221
(16.5%)
-515 59534
(16.2%)
10172
Total - ETFs 481 115168
(26.8%)
114311
(26.9%)
856 95342
(25.9%)
19825
Total - All Mutual Funds 2285 429958
(100%)
425589
(100%)
4368 368612
(100%)
61346

​Due to the extensive changes taking effect during the implementation of the similar fund outline,

the displayed data will be partial starting July 1st, 2021 through January 2nd, 2020. 

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