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FR0007069554

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Analysis and statistics

  • Open
    1420.5356$
  • Previous Close
    1420.5356$
  • 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
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  • Beta
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  • Volume
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About

FR0007069554.EUFUND represents a unit in the Lyxor Euro Corporate Bond Ex-Financials UCITS ETF, an exchange-traded fund (ETF). This ETF aims to track the Markit iBoxx EUR Corporates ex Financials index, which comprises Euro-denominated investment grade corporate bonds excluding those issued by financial institutions. The fund allows investors to gain exposure to a diversified portfolio of corporate bonds within the Eurozone, mitigating the risk associated with individual bond holdings and excluding the financial sector to focus on non-financial corporate issuers.
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Factors

[Underlying Assets' Performance]: The performance of the assets held within the FR0007069554.EUFUND significantly impacts its price. If the underlying stocks, bonds, or other investments increase in value, the fund's Net Asset Value (NAV) typically rises, and vice-versa. [Market Sentiment]: Overall investor sentiment towards the fund's investment strategy and the markets it invests in can drive demand, affecting the fund's price. Positive sentiment generally leads to higher prices. [Economic Conditions]: Macroeconomic factors such as interest rates, inflation, and GDP growth influence the performance of companies and markets, consequently impacting the fund's investments and its price. [Fund Management Expertise]: The skill and experience of the fund managers in selecting and managing the fund's investments can affect its performance and, therefore, its price. [Expense Ratio and Fees]: Higher expense ratios and management fees can reduce the fund's overall returns and potentially affect its price compared to similar funds with lower costs. [Currency Fluctuations]: If the fund invests in assets denominated in foreign currencies, fluctuations in exchange rates can impact the fund's price when translated back into the fund's base currency. [Supply and Demand]: The relative demand for and supply of the fund's shares in the market can influence its price, particularly for exchange-traded funds (ETFs). High demand may push the price above its NAV, while low demand can lead to discounts. [Regulatory Changes]: Changes in regulations governing the fund or the markets it invests in can impact its operations and performance, subsequently affecting its price. [Geopolitical Events]: Global political and economic events, such as trade wars, political instability, or natural disasters, can create market volatility and impact the fund's investments and price. [Dividend and Interest Payments]: The amount of dividends or interest paid out by the underlying assets and passed on to fund holders affects the NAV of the fund, because those payments impact the funds overall profit [Fund Size and Liquidity]: A fund's size and liquidity can impact its price, particularly in times of market stress. Larger, more liquid funds may be easier to trade and less prone to price fluctuations.

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