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GB0030165095

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Analysis and statistics

  • Open
    3.7622$
  • Previous Close
    3.7622$
  • 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

GB0030165095 represents an investment fund, specifically the Schroder Strategic Credit Fund I Acc EUR. This fund primarily invests in global investment grade and high yield corporate bonds, seeking to generate income and capital growth. The fund's objective is to outperform its benchmark, the Bloomberg Barclays Global Aggregate Credit index, while managing credit risk through diversification and active management. It is denominated in EUR and is available to investors meeting certain eligibility criteria.
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Factors

FactorName: Overall Market Performance

Explanation: Broad market trends, especially in European equities, significantly influence the fund's value. A rising European stock market typically boosts the fund's price, while a downturn can lower it. FactorName: Sector Allocation & Performance

Explanation: The fund's investments in specific sectors (e.g., technology, finance) impact its price. If the sectors it's heavily invested in perform well, the fund's price is likely to rise. FactorName: Fund Management Strategy

Explanation: The fund manager's stock-picking skills and investment decisions directly affect returns. Successful stock selections will push the fund's price higher. Poor decisions will do the opposite. FactorName: Economic Conditions in Europe

Explanation: Macroeconomic factors like GDP growth, inflation, and interest rates in Europe affect company earnings and therefore, stock prices. Strong economic data usually leads to higher fund prices. FactorName: Currency Exchange Rates

Explanation: Currency fluctuations, particularly between the Euro and other currencies if the fund holds assets denominated in those currencies, can impact returns. A stronger Euro may improve returns for foreign investors. FactorName: Investor Sentiment

Explanation: Market sentiment and risk appetite play a role. Positive investor sentiment toward European equities can drive demand for the fund, increasing its price. Negative sentiment can lead to selling pressure, reducing the price.

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