KSM ETF (2A) Composite Gen Bond Israel (90%) Israel Equity (10%) Monthly Units
Price
0 EUR
Today +/-
+null EUR
Today %
KSM ETF (2A) Composite Gen Bond Israel (90%) Israel Equity (10%) Monthly Units Price
ETF profile
Symbol
KSM.F88.TA ISIN
— CUSIP
M6374W225 Asset class
BondsManaged Assets
44 M
Average Volume
0
Domicile
IL
Eulerpool
KSMTotal Expense Ratio (TER)
0.02 %
Funds Launch
12/16/2018
Investment Segment
Wide creditNAV (Net Asset Value)
168.29 Mio. ILS
Currency
ILS
P/B
0
P/E
0
Tracking Index
55% Tel-Gov - 25% Tel-Bond 60 Index - 10% Tel Bond Shekel Index - 10% Tel Aviv-125 Index GrossTurnover
—
KSM ETF (2A) Composite Gen Bond Israel (90%) Israel Equity (10%) Monthly Units List of Holdings
Most common questions regarding KSM ETF (2A) Composite Gen Bond Israel (90%) Israel Equity (10%) Monthly Units
KSM ETF (2A) Composite Gen Bond Israel (90%) Israel Equity (10%) Monthly Units is offered by KSM, a leading player in the field of passive investments.