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FR0000995110

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Analysis and statistics

  • Open
    21.5941$
  • Previous Close
    21.5941$
  • 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
    --$
  • EPS
    --
  • Beta
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  • Volume
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About

FR0000995110.EUFUND refers to the Carmignac Patrimoine A EUR Acc fund. It's a diversified, globally focused fund managed by Carmignac Gestion, a well-known French asset management firm. The fund aims to achieve long-term capital appreciation by investing in a mix of equities, bonds, and currencies. It is known for its flexible and active management style, allowing the fund managers to adjust the portfolio's asset allocation based on their market outlook and risk assessment.
Commodity Market Analysis: UAE Fuel Prices Surge Up to 72% in April 2026 as Global Oil Rally

Commodity Market Analysis: UAE Fuel Prices Surge Up to 72% in April 2026 as Global Oil Rally

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DAX 40 Index Analysis Today: Why the German Benchmark Is Struggling Near 23,500

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Gold price analysis (XAU/USD): Will gold rate decrease in coming days in 2026?

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Solana price analysis: Solana (SOL/USD) price slid lower, what’s happening with SOL?

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Bitcoin Analysis Today: Bitcoin Holds Strong Above $70K as Bulls Defend Key Support Level

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Microsoft's SWOT analysis: Why MSFT Is the best AI stock to buy in 2026?

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FTSE 100 analysis: FTSE 100 falls below 10,350, what’s next for UK stock market?

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Factors

Fund Performance: Past and present performance heavily influences investor demand and, consequently, the fund's price.

Market Conditions: Broad economic trends, interest rates, and geopolitical events impact the overall market and specific asset classes within the fund.

Asset Allocation: The composition of the fund's holdings (stocks, bonds, etc.) and their individual performance drive the overall fund value.

Fund Management: Decisions made by the fund manager regarding asset selection and trading strategies affect returns.

Investor Sentiment: Overall investor confidence and risk appetite impact demand for the fund.

Expense Ratio: Higher fees can detract from returns, making the fund less attractive.

Fund Size: Large inflows or outflows can impact the fund's ability to effectively manage its assets and trading strategies.

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