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GB00BKKZPR64

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1d
1w
1m

Analysis and statistics

  • Open
    1.0626$
  • Previous Close
    1.0626$
  • 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

GB00BKKZPR64.EUFUND refers to the iShares Core MSCI World UCITS ETF USD (Acc). This exchange-traded fund (ETF) aims to track the investment results of an index composed of large- and mid-capitalization companies globally. The ETF provides broad exposure to developed markets around the world, offering investors a diversified equity portfolio in a single investment vehicle.
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Factors

FactorName: Underlying Asset Performance. The fund's price directly reflects the performance of the assets it holds, primarily European equities. Positive equity market trends increase the fund's value, while downturns decrease it. FactorName: Interest Rate Environment. Rising interest rates can make bonds and other fixed-income assets more attractive relative to equities, potentially leading to a decrease in demand and price for GB00BKKZPR64.EUFUND. FactorName: Economic Growth in Europe. Strong economic growth in Europe typically supports corporate earnings and stock prices, positively affecting the fund. Slower growth or recessionary conditions can have the opposite effect. FactorName: Currency Fluctuations. As the fund likely invests in European companies denominated in Euros and other European currencies, fluctuations in these currencies relative to the fund's base currency can impact returns. FactorName: Investor Sentiment. General investor risk appetite and confidence in European markets can drive demand for the fund. Positive sentiment increases demand, driving up the price; negative sentiment leads to selling pressure and a lower price. FactorName: Fund Management Expertise. The skill of the fund managers in selecting and managing the portfolio of European equities can influence performance relative to benchmark indexes, which affects the price. FactorName: Fund Expenses and Fees. Management fees, operating expenses, and other charges reduce the overall return of the fund, impacting its price relative to similar funds with lower costs. FactorName: Geopolitical Events. Political instability, trade disputes, or other geopolitical events in Europe or globally can create uncertainty and impact investor sentiment, leading to price volatility. FactorName: Regulatory Changes. New regulations affecting European companies or financial markets can impact profitability and investor perceptions, influencing the fund's price. FactorName: Dividend Yields. Dividends paid by the underlying companies contribute to the overall return of the fund. Changes in dividend policies can affect the fund's attractiveness and price. FactorName: Supply and Demand. The fundamental principle of supply and demand applies. If there are more buyers than sellers, the price goes up. If there are more sellers than buyers, the price goes down. FactorName: Sector Performance. The fund's performance is influenced by the performance of the specific sectors it invests in within the European equity market. A strong performance in key sectors boosts the fund, while weakness diminishes it. FactorName: Inflation Rates. Rising inflation can impact corporate earnings and economic growth, potentially affecting stock prices and therefore, the fund’s value. Central bank actions to control inflation can also influence market sentiment. FactorName: Company-Specific News. Significant news events related to the individual companies held within the fund's portfolio (e.g., earnings reports, mergers, acquisitions) can impact their stock prices and contribute to the fund's overall performance.

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