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IE00B9CCRM71

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Analysis and statistics

  • Open
    67.1114$
  • Previous Close
    67.1114$
  • 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
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  • EPS
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  • Beta
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  • Volume
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About

IE00B9CCRM71 represents an investment fund, specifically the Schroder ISF Global Energy Transition Fund C Acc EUR. This fund aims to provide capital growth by investing in equities of companies worldwide that are involved in the transition to a lower carbon economy. It focuses on companies developing or benefiting from technologies and services related to renewable energy, energy efficiency, and other climate change solutions. Investors should review the fund's prospectus and Key Investor Information Document (KIID) for detailed information on investment objectives, risks, and costs before investing.

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Global Debt Crisis Deepens Amidst Iran Conflict and Fiscal Fragility

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Factors

Underlying Asset Performance: EUFUND's price directly reflects the performance of its underlying assets, such as stocks and bonds. Positive asset returns increase the fund's Net Asset Value (NAV) and market price, while negative returns decrease them.

Market Sentiment: Overall market sentiment toward European equities and bonds significantly impacts demand for EUFUND. Positive sentiment can drive up demand and price, while negative sentiment can lead to selling pressure and price declines.

Interest Rate Changes: Changes in interest rates, particularly those set by the European Central Bank, influence bond valuations within EUFUND and can also affect equity valuations, impacting the fund's price.

Currency Fluctuations: As an EUFUND, currency fluctuations between the Euro and other currencies can impact the fund's returns, especially if it holds assets denominated in currencies other than the Euro, affecting the price.

Economic Indicators: Key economic indicators such as GDP growth, inflation, and unemployment rates in the Eurozone can influence investor confidence and impact the performance of European markets, consequently affecting EUFUND's price.

Fund Management Decisions: Decisions made by the fund manager, such as asset allocation and security selection, play a crucial role in the fund's performance and, therefore, its price. Superior management can lead to better returns and a higher price.

Supply and Demand: The basic economic principle of supply and demand also affects the fund's price. If there is high demand for EUFUND shares and limited supply, the price will increase, and vice versa.

Geopolitical Events: Geopolitical events and political instability in Europe or globally can create uncertainty and affect investor sentiment towards European assets, impacting EUFUND's price.

Fund Expenses: The fund's expense ratio, which includes management fees and operating expenses, can indirectly affect its price by reducing the overall returns generated by the fund.

Regulatory Changes: Changes in regulations affecting the financial markets in Europe or the fund itself can impact investor perception and the fund's operational costs, influencing its price.

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