TC.KOTA125TC.KOTA125TC.KOTA125

TC.KOTA125

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Key stats


Assets under management (AUM)
‪379.12 M‬ILS
Fund flows (1Y)
‪282.63 M‬ILS
Dividend yield (indicated)
Discount/Premium to NAV
1.2%

About TC.KOTA125


Issuer
Meitav Investment House Ltd.
Brand
Tachlit
Inception date
Nov 4, 2018
Index tracked
TA-125 Index - ILS - Benchmark TR Net
Management style
Passive
ISIN
IL0011553737
The purpose of the fund: to achieve a result derived from the valuation rate in the Tel Aviv Index.

Classification


Asset Class
Equity
Category
Size and style
Focus
Total market
Niche
Broad-based
Weighting scheme
Market cap
Selection criteria
Market cap
What's in the fund
Exposure type
Bonds, Cash & Other
Cash
Bonds, Cash & Other100.00%
Cash100.00%
Summarizing what the indicators are suggesting.
Oscillators
Neutral
SellBuy
Strong sellStrong buy
Strong sellSellNeutralBuyStrong buy
Oscillators
Neutral
SellBuy
Strong sellStrong buy
Strong sellSellNeutralBuyStrong buy
Summary
Neutral
SellBuy
Strong sellStrong buy
Strong sellSellNeutralBuyStrong buy
Summary
Neutral
SellBuy
Strong sellStrong buy
Strong sellSellNeutralBuyStrong buy
Summary
Neutral
SellBuy
Strong sellStrong buy
Strong sellSellNeutralBuyStrong buy
Moving Averages
Neutral
SellBuy
Strong sellStrong buy
Strong sellSellNeutralBuyStrong buy
Moving Averages
Neutral
SellBuy
Strong sellStrong buy
Strong sellSellNeutralBuyStrong buy
Displays a symbol's price movements over previous years to identify recurring trends.