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KSM.F112
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Holdings
KSM ETF (6D) Leveraged NASDAQ 100 x3 Monthly Units
KSM.F112
Tel Aviv Stock Exchange
KSM.F112
Tel Aviv Stock Exchange
KSM.F112
Tel Aviv Stock Exchange
KSM.F112
Tel Aviv Stock Exchange
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KSM ETF (6D) Leveraged NASDAQ 100 x3 Monthly Units holdings
As of June 30, 2025
Symbol
Weight %
Shares
Market value
U
United States Treasury Bills 0.0% 12-AUG-2025
17.39%
26.00 M
87.14 M
ILS
G
Government of Israel 0.0% 03-SEP-2025
14.60%
73.70 M
73.15 M
ILS
I
Israeli New Shekel
13.13%
65.78 M
65.78 M
ILS
G
Government of Israel FRN 30-NOV-2034
11.56%
60.00 M
57.90 M
ILS
F
FUTURES
10.15%
50.87 M
50.87 M
ILS
G
Government of Israel 0.5% 27-FEB-2026
9.77%
50.00 M
48.95 M
ILS
G
Government of Israel 0.0% 06-AUG-2025
7.95%
40.00 M
39.84 M
ILS
F
FIXED INCOME (UNCLASSFIED)
5.53%
27.68 M
27.68 M
ILS
C
CORPORATE BOND
3.89%
19.51 M
19.51 M
ILS
G
Government of Israel
2.96%
15.00 M
14.84 M
ILS
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