IL:MTF.F131 Holdings Information
Holdings Count
―Total Assets
―Top 10 Percentage
51.17%Asset Class
―Category
―Region
―Top Holdings
― Holdings as of ―
Name | Weight % | Market Value |
|---|---|---|
Teva Pharmaceutical Industries Limited | 8.43% | $3.25M |
Bank Leumi Le-Israel Ltd | 7.31% | $2.81M |
Bank Hapoalim BM | 6.86% | $2.64M |
Tower Semiconductor | 6.66% | $2.56M |
Elbit Systems | 6.46% | $2.49M |
Nova Ltd. | 4.36% | $1.68M |
Enlight Renewable Energy Ltd | 3.41% | $1.31M |
Phoenix Holdings Ltd. | 2.67% | $1.03M |
Israel Discount Bank Class A | 2.65% | $1.02M |
NextVison Stabilized Systems, Ltd. | 2.36% | $909.29K |
MTF.F131 ETF News
MTF.F131 ETF FAQ
What are ETF IL:MTF.F131’s top 3 holdings?
IL:MTF.F131’s top 3 holdings are IL:TEVA, IL:LUMI, IL:POLI.
What is IL:MTF.F131’s holding count?
Currently, no data Available
What are the total assets of ETF IL:MTF.F131?
Currently, no data Available
What sector is IL:MTF.F131 most exposed to?
IL:MTF.F131 is most exposed to 85.41% General of its holdings.
How concentrated is IL:MTF.F131?
IL:MTF.F131’s top 10 holdings represent 51.17% of the fund.
What is IL:MTF.F131’s average Smart Score?
Currently, no data Available



