Tel-Aviv AAA-A Bond iNDEX

Index Symbol: 1253

Close Level

0.00

Daily Change

0.00%

Credit Rating

ilA+

Duration

0.00

Yield to Maturity

0.00%

Gov Spread

0
As of 26.03.2025

Performance

2025

0.00%

1 Year

0.00%

3 Years

0.00%

5 Years

0.00%

Annualized STD Dev

1 Year

0.00%

3 Years

0.00%

5 Years

0.00%

Sharp Ratio

1 Year

0.00

3 Years

0.00

5 Years

0.00
Security Name
Weight (%)
Bezeq B11 0.0
Mizrahi Tefahot Issuing B63 0.0
Paz Energy B8 0.0
Property & Building B11 0.0
Leumi Bank B184 0.0
Discount Manpikim B14 0.0
Delek Group B37 0.0
Property & Building B9 0.0
Gav Yam B8 0.0
Phoenix Capital B11 0.0
Poalim Hanpakot B100 0.0
Shikun & Binui B10 0.0
Bezeq B13 0.0
Clal Finance B13 0.0
Clal Finance B11 0.0
Amot B7 0.0
Alony Hetz B12 0.0
Clal Finance B12 0.0
B Communications B7 0.0
Delek Group B39 0.0
Carasso B3 0.0
Alony Hetz B13 0.0
Enlight B4 0.0
Israel Corp. B14 0.0
B Communications B6 0.0
Bazan B12 0.0
Phoenix B6 0.0
Navitas Petroleum B6 0.0
Silverstein B2 0.0
Lightston B3 0.0
Migdal Fund B9 0.0
Clal Insurance B1 0.0
Nofar Energy B3 0.0
Harel Investments B1 0.0
Elbit Systems B2 0.0
Strauss Group B6 0.0
Albar B20 0.0
Namco B2 0.0
Israel Canada B7 0.0
Nofar Energy B4 0.0
Shikun & Binui Energy B1 0.0
Ashtrom Group B3 0.0
Shapir Engineering B3 0.0
Ashdod Refinery B2 0.0
Carasso B4 0.0
Carasso Real Estate B1 0.0
Cellcom B12 0.0
Shufersal B7 0.0
Israel Corp. B15 0.0
Dor Alon B7 0.0
Migdal Fund B7 0.0
Afi Properties B12 0.0
Harel Issuing B14 0.0
Lightston B4 0.0
Delek Group B38 0.0
OPC B3 0.0
The Leser B9 0.0
Migdal Fund B6 0.0
Shlomo Holdings B19 0.0
Enlight B6 0.0
Electra B6 0.0
ACRO B1 0.0
Azorim B14 0.0
Harel Issuing B15 0.0
Partner B7 0.0
Migdal Fund B10 0.0
Extell B4 0.0
ICL B7 0.0
Greystone 0.0
Harel Issuing B16 0.0
Harel Issuing B18 0.0
Namco B4 0.0
Spencer B6 0.0
Alon Blue Square Israel B6 0.0
Electra B5 0.0
Fattal Holdings B3 0.0
Migdal Fund B11 0.0
Migdal Fund B12 0.0
Israel Canada B8 0.0
Mizrahi Tefahot Issuing B40 0.0
Migdal Fund B8 0.0
Bazan B10 0.0
Spencer B4 0.0
Harel Insurance Issuing B20 0.0
Shufersal B5 0.0
Bazan B13 0.0
Delek Group B40 0.0
Alon Blue Square Israel B8 0.0
Isramco B3 0.0
Lightston B6 0.0
Navitas Petroleum B5 0.0
Clal Insurance C3 0.0
Harel Issuing B19 0.0
Phoenix Capital B15 0.0
Fattal Europe B3 0.0
Meitav Investment House B4 0.0
Eldan Transportation B9 0.0
Summit B12 0.0
Fattal Holdings B5 0.0
Cellcom B13 0.0
Keystone Infra B2 0.0
Migdal Insurance Funds B13 0.0
Migdal Insurance Funds B14 0.0
Electra Consumption‏ B5 0.0
Westdale B3 0.0
Lightston B5 0.0
SHIR Shlomo Real Estate B4 0.0
The Leser B7 0.0
Fattal Europe B5 0.0
Dimri B10 0.0
Electra Real Estate B7 0.0
Namco B3 0.0
Spencer B5 0.0
Electra Real Estate B6 0.0
Airport City B10 0.0
Shapir Engineering B2 0.0
Namco B5 0.0
UMI B6 0.0
Westdale B2 0.0
Ashtrom Properties B9 0.0
Energix B1 0.0
Bezeq B9 0.0
Manif B2 0.0
The Leser B8 0.0
Strauss Group B5 0.0
Menora Mivtachim Hon B7 0.0
Elco B13 0.0
Matrix B2 0.0
Navitas Petroleum B3 0.0
Medtr Tower B5 0.0
Harel Issuing B17 0.0
Formula B3 0.0
Equital B4 0.0
Albar B18 0.0
Albar B22 0.0
MGG B2 0.0
Aura B18 0.0
Alony Hetz B9 0.0
Medtr Tower B6 0.0
Menora Mivtachim Hon B8 0.0
Silverstein B3 0.0
Phoenix Capital B9 0.0
Villar B10 0.0
Harel Issuing B11 0.0
Pacific B4 0.0
Menora Mivtachim Hon B5 0.0
UMI B4 0.0
Equital B3 0.0
Menora Mivtachim Hon B6 0.0
Amidar B1 0.0
Cellcom B11 0.0
Isracard B2 0.0
Amot B9 0.0
Phoenix Capital B8 0.0
Pacific B2 0.0
Levinstein Engineering B5 0.0
Amram Abraham B1 0.0
Amram Abraham B3 0.0
Fattal Europe B4 0.0
Electra Power B2 0.0
Levinstein Properties B3 0.0
Summit B10 0.0
Harel Issuing B12 0.0
Harel Issuing B13 0.0
Poalim Hanpakot B101 0.0
Prashkovsky B14 0.0
Afi Properties B10 0.0
Delta Galil B1 0.0
Carasso B5 0.0
Dimri B9 0.0
Azorim B13 0.0
Lightston B2 0.0
Bazan B15 0.0
Spencer B2 0.0
Paz Energy B9 0.0
Elco B14 0.0
Kardan Real Estate B5 0.0
Fattal Holdings B2 0.0
Prashkovsky B15 0.0
IDI Insurance B5 0.0
Africa Israel Residences B5 0.0
OPC B4 0.0
Israel Corp. B12 0.0
Carasso Real Estate B2 0.0
Extell B3 0.0
MDG Real Estate B7 0.0
Isras B14 0.0
Partner B8 0.0
Rimon B1 0.0
Eldan Transportation B6 0.0
Electra Power B1 0.0
Tadiran Group B4 0.0
Big B19 0.0
Dimri B11 0.0
Mivne B16 0.0
Formula B4 0.0
Sarfati B12 0.0
Rotshtein B12 0.0
Sarfati B13 0.0
Duniec B3 0.0
Yochananof B1 0.0
IDI Insurance B6 0.0
Ayalon Insurance B5 0.0
Pacific B3 0.0
Maman B3 0.0
Minrav B5 0.0
Aura B16 0.0
Carasso B1 0.0
Electra B4 0.0
Amot B5 0.0
Michlol Finance B2 0.0
Dorsel B4 0.0
Menora Mivtachim Holdings B3 0.0
Ashdod Refinery B3 0.0
Gama B2 0.0
Tempo Beverages B3 0.0
Summit B7 0.0
The Zarasai B5 0.0
Cellcom B9 0.0
Dimri B8 0.0
Ashtrom Group B2 0.0

As of 27/03/2025

Index Description

The index is designed to measure the performance of non-linked AAA-A rated corporate bonds listed the Tel-Aviv Exchange

Fund Name
Fund ID
Underlying Index
Harel Tracking Tel-Aviv AAA-A Bond iNDEX - $ Denominated ILIL0051325921Tel-Aviv AAA-A Bond iNDEX

Factsheet

Index Levels

Tel-Aviv AAA-A Bond iNDEX is calculated and administered by Index Research and Development Index LTD (hereinafter and above: "iNDEX Research"). All rights derived from the indexes belong to iNDEX Research. All data on this page is provided for informational purposes only and reflects past performance which does not necessarily constitute investment performance In practice, in light of the existence of trading costs, taxation and expenses that are not reflected in the performance of securities included in the index. Past results should not be seen as an attempt to predict future results. In addition, it should be emphasized that some of the information presented above is based on theoretical calculations only and not on actual market performance. The theoretical calculations are based on the methodology is the same as that of the index at the time of its official launch. In addition, the information may include inaccuracies and errors and there may have been changes in the above information since its publication. Some of the information is rounded according to the rules established by the index and it is possible that the schema of a certain type of information will not add up to 100%. In indexes that include bonds of various types of linkage, the internal yield is presented in non-linked terms when the yield to maturity of CPI-linked bonds is calculated plus the inflation expectations of the market. In indexes that include government bonds or not rated corporate bonds, the weighted credit rating of the index is calculated based on the assumption of a AAA rating for government bonds and a BB rating for NR corporate bonds. The names of the financial instruments, their identifiers and links to relevant information sites may appear in indices that are used as a benchmarks of public investment instruments. iNDEX Research will not be responsible in any way for any damage or loss caused by using the information on this page or on pages in the links provided. If they cause, and does not guarantee that the use of this information may generate profits in the hands of the user. The information on this page should not be considered a recommendation for investment operations and/or a substitute for investment advice/marketing that should be provided individually according to the investor's needs and/or a substitute for the reader's independent judgment. indexes are not investment instruments and cannot be invested in directly. iNDEX Research specializes in research and development, calculation and administration of indexes for a variety of investment needs and does not manage, approve, market or promote investment instruments based on the indexes it maintains and/or calculates. The use of iNDEX Research indexes for the purpose of creating investment instruments requires a written permission and/or license from iNDEX Research to use the indexes. Index names are trademarks of iNDEX Research. Do not make any use of iNDEX Research's trademarks without prior written approval from iNDEX Research. Do not copy, reproduce, quote and/or publish this page, or any part of it, without prior written permission. All rights reserved.

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