כניסה

Statistical data regarding compensation paid to mutual funds' managers in Israel

​The information presented below is based on data regarding compensation of mutual funds' managers reported to the ISA through the MAGNA system.

Data presented does not include the load charged by some of the mutual funds. In cases in which unit holders are charged with such load, it is considered to be part of the management fee.

The average fee is calculated as a simple average.

Some managers of tracker funds are exempted from paying a distribution charge. In such cases, data regarding the management fee received by such managers is presented separately and is not included amongst the other classification groups.

Tracker funds include funds that track bond indexes, share indexes and indexes that are comprised of both.   

Due to the extensive changes taking effect during the implementation of the similar fund outline, the displayed data will be partial starting July 1st, 2021 through January 2nd, 2020. 

On December 31st, 2011 the list of mutual fund titles, for the purpose of funds classification, was updated.
As of this date, data relating to mutual funds are presented on this web-site in accordance with the updated list.
Data relating to the period preceding the update, alongside the updated data, are presented in accordance with the updated titles.
Data pulled out specifically for the period preceding the update, will be presented in accordance with the former classification.

Show
Statistical information from
till
Funds Classification
(Updated as of 03/12/2023)
Number of Funds Range Average Median Standard Deviation
Flexible 46 0 - 2.5 1.49 1.64 0.53
Israeli Equity 279 0 - 2.92 0.88 0.6 0.73
Global Equity 616 0 - 2.97 0.78 0.75 0.57
Leverage & Strategic 61 0 - 3.8 1.53 1.5 0.98
Money market funds 45 0.04 - 0.78 0.17 0.15 0.12
Israeli Fixed Income - Government 218 0 - 1.35 0.41 0.47 0.29
Israeli Fixed Income - Corporate and Convertibles 403 0 - 2.32 0.41 0.23 0.41
Israeli Fixed income - Broad Market- Composite 456 0 - 2.249 0.69 0.74 0.27
Global Fixed Income 100 0 - 1.37 0.62 0.69 0.29
Limited for Foreign Residents 2 2.19 - 2.92 2.56 2.56 0.52
Commodities 9 0.8 - 1.5 1.38 1.5 0.24
Fund of Funds 29 0 - 1.47 0.24 0 0.48
Closed-End Fund 1 1.3 - 1.3 1.3 1.3 0
Other 2 0.15 - 0.15 0.15 0.15 0
Mutual Hedge Fund 19 0 - 1.5 1.22 1.5 0.49
Total - Actively Managed Funds 1156 0 - 3.8 0.97 0.79 0.57
Total - Tracking funds (not traded) 650 0 - 1.35 0.33 0.25 0.28
Total - ETFs 480 0 - 2.75 0.51 0.45 0.48
Total - All Mutual Funds 2286 0 - 3.8 0.69 0.64 0.57
22 Kanfei Nesharim St., Jerusalem 95464. Tel: 02-6556555, Fax: 02-6513646
|
|
|
|
|
|
|
Developed by
All rights reserved to the ISA ©