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Meitav Ta 125 Il (0P0000A76C)

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769.840 +1.810    +0.24%
21/11 - Closed. Currency in ILS
  • Morningstar Rating:
  • Total Assets: 616.15M
Type:  Fund
Market:  Israel
Issuer:  Meitav DS Mutual Funds Ltd
ISIN:  IL0051004740 
S/N:  5100474
Asset Class:  Equity
Meitav Israel Equities 769.840 +1.810 +0.24%

0P0000A76C Historical Data

 
Get free historical data for 0P0000A76C fund. You'll find the end of day price of the Meitav Ta 125 Il fund for the selected range of dates. The data can be viewed in daily, weekly or monthly time intervals. At the bottom of the table you'll find the data summary for the selected range of dates.
Time Frame:
22/10/2024 - 22/11/2024
 
Date Price Open High Low Change %
Nov 21, 2024 769.840 769.840 769.840 769.840 0.24%
Nov 20, 2024 768.030 768.030 768.030 768.030 0.27%
Nov 19, 2024 766.000 766.000 766.000 766.000 0.39%
Nov 18, 2024 763.030 763.030 763.030 763.030 -0.03%
Nov 17, 2024 763.270 763.270 763.270 763.270 0.83%
Nov 14, 2024 756.980 756.980 756.980 756.980 -0.65%
Nov 13, 2024 761.910 761.910 761.910 761.910 0.32%
Nov 12, 2024 759.510 759.510 759.510 759.510 0.92%
Nov 11, 2024 752.550 752.550 752.550 752.550 -0.01%
Nov 10, 2024 752.630 752.630 752.630 752.630 2.01%
Nov 07, 2024 737.830 737.830 737.830 737.830 0.13%
Nov 06, 2024 736.880 736.880 736.880 736.880 0.15%
Nov 05, 2024 735.780 735.780 735.780 735.780 0.49%
Nov 04, 2024 732.190 732.190 732.190 732.190 -0.43%
Nov 03, 2024 735.340 735.340 735.340 735.340 0.17%
Oct 31, 2024 734.070 734.070 734.070 734.070 -0.33%
Oct 30, 2024 736.490 736.490 736.490 736.490 1.56%
Oct 29, 2024 725.210 725.210 725.210 725.210 1.10%
Oct 27, 2024 717.320 717.320 717.320 717.320 1.27%
Oct 22, 2024 708.350 708.350 708.350 708.350 -0.91%
Highest: 769.840 Lowest: 708.350 Difference: 61.490 Average: 745.661 Change %: 7.688
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