KSM ETF (00) Short Tel Bond-20 CPI Linked (574) ILKSM ETF (00) Short Tel Bond-20 CPI Linked (574) ILKSM ETF (00) Short Tel Bond-20 CPI Linked (574) IL

KSM ETF (00) Short Tel Bond-20 CPI Linked (574) IL

No trades

Key stats


Assets under management (AUM)
‪4.34 M‬ILS
Fund flows (1Y)
Dividend yield (indicated)
Discount/Premium to NAV
−0.01%
Shares outstanding
‪1.68 M‬
Expense ratio
0.53%

About KSM ETF (00) Short Tel Bond-20 CPI Linked (574) IL


Issuer
KSM Mutual Funds Ltd.
Brand
KSM
Inception date
Dec 16, 2018
Structure
Open-Ended Fund
Index tracked
Tel-Bond 20 Index - ILS
Replication method
Physical
Management style
Passive
Dividend treatment
Capitalizes
Primary advisor
KSM Mutual Funds Ltd.
Identifiers
2
ISINIL0011460420
To try to achieve a similar return (excess or less) as possible to the rate of change in the tracking asset a The tracking asset of the fund: Tel Bond 20 Index.

Classification


Asset Class
Fixed income
Category
Broad market, broad-based
Focus
Broad credit
Niche
Broad maturities
Strategy
Vanilla
Geography
Israel
Weighting scheme
Market value
Selection criteria
Market value

Returns


1 month3 monthsYear to date1 year3 years5 years
Price performance
NAV total return

What's in the fund


As of September 30, 2025
Exposure type
Bonds, Cash & Other
Miscellaneous
Cash
Bonds, Cash & Other100.00%
Miscellaneous81.45%
Cash18.55%
Top 10 holdings

Dividends


Dividend payout history

Assets under management (AUM)



Fund Flows



Frequently Asked Questions


No, KSM.F26 doesn't pay dividends to its holders.
KSM.F26 shares are issued by KSM Mutual Funds Ltd. under the brand KSM. The ETF was launched on Dec 16, 2018, and its management style is Passive.
KSM.F26 expense ratio is 0.53% meaning you'd have to pay 0.53% of your investment to help manage the fund.
KSM.F26 follows the Tel-Bond 20 Index - ILS. ETFs usually track some benchmark seeking to replicate its performance and guide asset selection and objectives.
KSM.F26 invests in cash.
KSM.F26 trades at a premium (0.01%) meaning the ETF is trading at a higher price than the calculated NAV.