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Meitav Gold (0P0000A77J)

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111.530 +1.170    +1.06%
06/05 - Delayed Data. Currency in ILS ( Disclaimer )
  • Morningstar Rating:
  • Total Assets: 30.9M
Type:  Fund
Market:  Israel
Issuer:  Meitav DS Mutual Funds Ltd
ISIN:  IL0051009616 
S/N:  5100961
Asset Class:  Commodity
Meitav Gold 111.530 +1.170 +1.06%

0P0000A77J Overview

 
Information on users’ sentiments for the Meitav Gold fund, which are displayed both on charts of different periods of time and on a detailed table.
BearishBullish
Start Date Username Call Open Rate End Date Chg. %
May 02, 2024 Music Man   110.080 +1.32%
Oct 19, 2023 צבי וייס   101.130 Nov 30, 2023 @ 98.350 -2.75%
Jun 14, 2023 שמואל רשף   94.910 Nov 30, 2023 @ 98.350 +3.62%
May 19, 2022 Shalom Frid   82.830 Jun 09, 2022 @ 84.330 +1.81%
Nov 01, 2020 Boaz Shalev   94.320 Nov 26, 2020 @ 88.280 -6.40%
Sep 30, 2020 נוריאל יעקב   95.680 Oct 22, 2020 @ 96.220 +0.56%
May 11, 2020 Marina Rimon   91.960 Jun 04, 2020 @ 90.180 -1.94%
Apr 26, 2020 אריה אחישר   92.590 May 21, 2020 @ 93.420 +0.90%
Apr 19, 2020 שלום טפירו   93.780 May 14, 2020 @ 90.610 -3.38%
Apr 16, 2020 משה קדוסי   88.790 May 07, 2020 @ 91.200 -2.71%
Apr 02, 2020 Amir Berman   83.000 Apr 23, 2020 @ 90.160 +8.63%
Mar 12, 2020 גיא ציוני   86.220 Apr 02, 2020 @ 83.000 -3.73%
Jan 02, 2019 Dudu kubi   71.400 Feb 02, 2019 @ 71.780 +0.53%
Dec 24, 2018 Eli Schachar   70.690 Jan 23, 2019 @ 70.930 +0.34%
Dec 19, 2018 Eli Schachar   69.650 Dec 19, 2018 @ 0.000 0.00%
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