Markets.com Logo

GB00B2359G43

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

Analysis and statistics

  • Open
    11.3882$
  • Previous Close
    11.3882$
  • 52 Week Change
    --
  • Day Range
    0.00$
  • 52 Week High/Low
    --
  • Dividend Per Share
    --
  • Market cap
    --$
  • EPS
    --
  • Beta
    --
  • Volume
    --

About

GB00B2359G43 is the SEDOL code for the Schroder Sterling Corporate Bond Fund (Class A Accumulation GBP). It's a UK-domiciled fund managed by Schroder Investment Management, aiming to provide income and capital growth by investing primarily in Sterling-denominated corporate bonds. The fund's performance is typically benchmarked against a relevant Sterling corporate bond index. Investors should review the fund's prospectus for full details on investment strategy, risks, and fees.
XLM Stellar Price Prediction: How High Can XLM/USD Go in 2026?

XLM Stellar Price Prediction: How High Can XLM/USD Go in 2026?

Ghko B|--
Investment for beginners 2026: Is now a good time to buy Vanguard S&P 500 ETF?

Investment for beginners 2026: Is now a good time to buy Vanguard S&P 500 ETF?

Ghko B|--
NIO stock is trading down today: What’s happening with Nio Inc?

NIO stock is trading down today: What’s happening with Nio Inc?

Frances Wang|--
Nvidia Stock Analysis: Is now a good time to buy the dip in NVDA stock?

Nvidia Stock Analysis: Is now a good time to buy the dip in NVDA stock?

Ghko B|--
Tata Gold analysis: How does Tata Gold ETF compare to Tata Gold share?

Tata Gold analysis: How does Tata Gold ETF compare to Tata Gold share?

Ghko B|--
Bitcoin price forecast: Bitcoin falls below $70K, will BTC continue to slide?

Bitcoin price forecast: Bitcoin falls below $70K, will BTC continue to slide?

Frances Wang|--
Ethereum price analysis: What’s the price prediction for ETH/USD 2026?

Ethereum price analysis: What’s the price prediction for ETH/USD 2026?

Ghko B|--

Factors

Market Performance: General market trends and investor sentiment impacting demand for European equity funds.

Underlying Holdings: The performance of the specific stocks and assets held within the EUFUND portfolio.

Economic Conditions: European economic growth, inflation, and interest rates affect corporate earnings and valuations.

Fund Management: The fund manager's skill in selecting investments and managing risk impacts returns.

Investor Demand: Increased investor interest in the fund drives up the price, while decreased interest lowers it.

Expense Ratio: The fund's operating expenses, including management fees, reduce net returns and price.

Currency Fluctuations: Changes in the value of the Euro against other currencies can affect returns for non-Euro investors.

Regulatory Changes: New regulations in Europe impacting businesses or financial markets can influence stock prices.

People Also Watch

Latest news

ESMA Expansion Sparks Crypto, Fintech Slowdown Concerns in EU

ESMA Expansion Sparks Crypto, Fintech Slowdown Concerns in EU

Noah Lee|--
Bitcoin's 'Santa' Rally: Fed Rate Decision and 2026 Outlook

Bitcoin's 'Santa' Rally: Fed Rate Decision and 2026 Outlook

Noah Lee|--
Western Union Unveils Stable Card, Stablecoin Strategy to Combat Inflation

Western Union Unveils Stable Card, Stablecoin Strategy to Combat Inflation

Liam James|--

Latest Education Articles

How to invest in gold in 2026: A beginner's guide to gold CFDs

How to invest in gold in 2026: A beginner's guide to gold CFDs

Ghko B|--
CFD Trading for Beginners: What to Know about Online Markets & Trading Platforms?

CFD Trading for Beginners: What to Know about Online Markets & Trading Platforms?

Georgy Istigechev|--
CFD trading basics: Long position VS. short position, which is better?

CFD trading basics: Long position VS. short position, which is better?

Ghko B|--