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FR0010564245

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Analysis and statistics

  • Open
    114.8968$
  • Previous Close
    114.8968$
  • 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

The financial product with the ISIN FR0010564245, followed by ".EUFUND" to denote its listing or distribution channel (likely indicating a specific platform or region), refers to a fund. Without deeper research into specific databases that hold this combined identifier structure, it's impossible to definitively say what the exact fund name, strategy, or fund manager is. However, the ISIN uniquely identifies a specific fund, and combined with the ".EUFUND" suffix, it points towards a fund offered on a particular European platform or market. Further investigation on financial data providers like Bloomberg, Refinitiv, or Morningstar, utilizing the FR0010564245 ISIN, would reveal the fund's full name, objectives, historical performance, and other relevant details.
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Factors

The price of FR0010564245.EUFUND is impacted by several factors: Market conditions: General economic climate, investor sentiment, and overall market trends affect demand and fund performance.

Fund performance: The fund's historical and current returns directly influence its attractiveness to investors, affecting demand and pricing.

Underlying assets: Performance of the securities held within the fund portfolio directly influences the fund's net asset value (NAV) and price.

Interest rates: Changes in interest rates can impact bond yields and equity valuations, affecting the fund's holdings and price.

Fund management: Decisions by fund managers regarding asset allocation, security selection, and trading strategies influence fund performance and price.

Expense ratio: The fund's operating costs, including management fees, affect net returns and can influence investor decisions.

Supply and demand: Investor demand for the fund relative to the available supply of shares impacts market price fluctuations.

Economic indicators: Macroeconomic data such as GDP growth, inflation, and unemployment rates can influence investment decisions and fund prices.

Regulatory changes: Changes in financial regulations can impact fund operations, investment strategies, and investor behavior, influencing prices.

Currency fluctuations: For funds investing in international assets, exchange rate movements can affect the value of holdings when converted to the fund's base currency.

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