Markets.com Logo
markets.com

FI4000029624

$--
--%
1d
1w
1m

Analysis and statistics

  • Open
    2.3725$
  • Previous Close
    2.3725$
  • 52 Week Change
    --
  • Day Range
    0.00$
  • 52 Week High/Low
    --
  • Dividend Per Share
    --
  • Market cap
    --$
  • EPS
    --
  • Beta
    --
  • Volume
    --

About

The financial product with the symbol FI4000029624.EUFUND refers to the Seligson & Co. Russia Fund. It is a Finnish fund investing primarily in Russian equities, and the ISIN (International Securities Identification Number) FI4000029624 uniquely identifies it. This information is publicly available through various financial data providers and fund information websites.
markets.com

Week Ahead: US job data takes the spotlight

Darius Anucauskas|--
USD/CHF Price Forecast: Evaluating the 2026 Breakout Amid Fed and SNB Policy Divergence

USD/CHF Price Forecast: Evaluating the 2026 Breakout Amid Fed and SNB Policy Divergence

Julian Parker|--
SK Hynix Equity Analysis 2026: The Intersection of AI Memory Dominance and Valuation Arbitrage

SK Hynix Equity Analysis 2026: The Intersection of AI Memory Dominance and Valuation Arbitrage

Julian Parker|--
Gold Price Forecast: XAU/USD Plunges to 2026 Lows Amid Hawkish Fed and Strong Dollar

Gold Price Forecast: XAU/USD Plunges to 2026 Lows Amid Hawkish Fed and Strong Dollar

Julian Parker|--
USD/JPY Forecast: Analyzing the 161.60 Threshold Amid BoJ Policy Friction and Intervention Risks

USD/JPY Forecast: Analyzing the 161.60 Threshold Amid BoJ Policy Friction and Intervention Risks

Julian Parker|--
Crude Oil Price Forecast 2026–2030: Macro Fundamentals, Geopolitics, and Trading Strategies

Crude Oil Price Forecast 2026–2030: Macro Fundamentals, Geopolitics, and Trading Strategies

Julian Parker|--
SpaceX Stock Forecast 2027, 2031 and 2036: What the Lockup Schedule Means for SPCX Shares

SpaceX Stock Forecast 2027, 2031 and 2036: What the Lockup Schedule Means for SPCX Shares

Julian Parker|--

Factors

Economy: General economic health and growth prospects in Europe impact fund returns.

Market Sentiment: Investor confidence and overall market mood influence fund performance.

Interest Rates: Changes in interest rates set by the European Central Bank affect bond valuations.

Fund Management: The fund manager's expertise and investment strategy determine fund success.

Sector Performance: The performance of sectors the fund invests in drives its returns.

Geopolitical Events: Political and social instability can impact market valuations.

Inflation: Rising inflation erodes purchasing power and affects bond yields.

Currency Fluctuations: Exchange rate changes between the Euro and other currencies can impact returns.

People Also Watch

Latest news

Apple Stock Falls 6.12% as Mac and iPad Price Hikes Raise Demand Concerns

Apple Stock Falls 6.12% as Mac and iPad Price Hikes Raise Demand Concerns

Julian Parker|--
Micron Earnings Fuel AI Memory Rally as Supply Tightness Supports Memory Chip Outlook

Micron Earnings Fuel AI Memory Rally as Supply Tightness Supports Memory Chip Outlook

Julian Parker|--
OpenAI IPO Could Be Delayed as SpaceX Volatility Tests AI Listings

OpenAI IPO Could Be Delayed as SpaceX Volatility Tests AI Listings

Julian Parker|--

Latest Education Articles

11 Best Swap-Free Account CFD Brokers in Dubai 2026

11 Best Swap-Free Account CFD Brokers in Dubai 2026

Julian Parker|--
11 Best Swap-free Account CFD Brokers in 2026

11 Best Swap-free Account CFD Brokers in 2026

Julian Parker|--
Do You Have to Be Muslim for a Swap-Free Account?

Do You Have to Be Muslim for a Swap-Free Account?

Julian Parker|--
Recommended Topics
markets.com