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ES0112601002

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Analysis and statistics

  • Open
    93.2031$
  • Previous Close
    93.2031$
  • 52 Week Change
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  • Day Range
    0.00$
  • 52 Week High/Low
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  • Dividend Per Share
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  • Market cap
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  • EPS
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  • Beta
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  • Volume
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About

ES0112601002.EUFUND refers to a specific share class of the Sabadell Inversión Ética y Solidaria, FI fund, managed by Sabadell Asset Management, S.A., S.G.I.I.C. The fund is an equity fund that invests according to ethical and socially responsible investing principles, primarily in companies meeting certain environmental, social, and governance (ESG) criteria. This particular share class is typically aimed at retail investors. The ISIN code (ES0112601002) uniquely identifies this specific share class of the fund within the European financial market. You should consult the fund's prospectus and KIID (Key Investor Information Document) for complete and up-to-date details on its investment policy, performance, fees, and risk factors before making any investment decision.
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Factors

[Underlying Asset Performance]: The fund's price is primarily affected by the performance of the assets it holds. EUFUND likely invests in a basket of assets, like stocks or bonds, so their individual price movements directly influence the fund's overall value.

[Market Sentiment]: General market optimism or pessimism can impact investor demand for the fund. Positive sentiment often drives prices up, while negative sentiment pushes them down. This is influenced by economic news and global events.

[Economic Conditions]: Economic indicators such as inflation, interest rates, and GDP growth can significantly influence asset valuations and therefore, the fund's price. Strong economic growth typically supports higher valuations.

[Fund Management Decisions]: The fund manager's investment strategies, asset allocation choices, and trading decisions can affect the fund's returns and, consequently, its price. Successful strategies lead to better returns.

[Currency Fluctuations]: If the fund invests in assets denominated in currencies other than EUR, exchange rate fluctuations can impact the fund's EUR-denominated price. A stronger EUR would decrease the fund's value if its holdings are in other currencies.

[Investor Demand]: Higher demand for the fund usually increases its price, while increased selling pressure can lead to a price decline. Investor sentiment and perception of risk play a crucial role here.

[Fund Expenses]: Management fees and other operating expenses are deducted from the fund's returns, which indirectly affects the fund's net asset value (NAV) and its market price. Higher expenses can drag down performance.

[Geopolitical Events]: Major global events, such as political instability, wars, or trade disputes, can create market volatility and negatively impact investor confidence, leading to declines in fund prices.

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