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IE00BDRMFF96

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Analysis and statistics

  • Open
    72.1059$
  • Previous Close
    72.1059$
  • 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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About

IE00BDRMFF96.EUFUND refers to the iShares MSCI World SRI UCITS ETF EUR (Acc), a fund that tracks the MSCI World SRI (Socially Responsible Investment) index. This index represents a screened subset of the MSCI World Index, excluding companies with significant negative social or environmental impacts, while also prioritizing those with high ESG (Environmental, Social, and Governance) ratings. The ETF is accumulating, meaning that any income or dividends generated by the fund are reinvested back into the fund rather than being distributed to investors.

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Trump's Iran War Exit Without a Deal: Reshaping Middle East Energy Security and Power Dynamics

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European market insights: What is the European stock market doing right now?

European market insights: What is the European stock market doing right now?

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EUR/USD Analysis Today: EUR/USD Gains to 1.1550 as Middle East Uncertainty Lingers

EUR/USD Analysis Today: EUR/USD Gains to 1.1550 as Middle East Uncertainty Lingers

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Microsoft at a Crossroads: AI Hurdles and Cloud Resilience Amidst Market Volatility

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Iran's Hormuz Gambit: Leveraging a Chokepoint for Economic Leverage and Global Impact

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Factors

Market Sentiment: Overall investor confidence or fear in the European equity market can heavily influence demand and therefore the price of the EUFUND.

Economic Conditions: Macroeconomic factors like GDP growth, inflation rates, and unemployment levels within the Eurozone can impact the profitability of companies held within the fund, affecting its value.

Interest Rates: Changes in interest rates by the European Central Bank (ECB) can affect borrowing costs for companies, potentially impacting their performance and the fund's value.

Currency Fluctuations: As the fund likely invests in European assets, fluctuations in the Euro (EUR) against other major currencies (like USD or GBP) can impact the fund's returns for investors holding it in those currencies.

Company Performance: The individual performance of companies held within the fund's portfolio directly influences the overall fund's net asset value (NAV) and market price.

Sector Performance: If the fund is heavily weighted in specific sectors, the performance of those sectors will significantly impact the fund's overall price.

Fund Management: The skill and strategy of the fund manager in selecting and managing the fund's portfolio can impact its returns compared to its benchmark and similar funds.

Investor Demand: High demand for the fund will drive up its price, while increased selling pressure will lower it.

Geopolitical Events: Political instability, policy changes, or global events (like trade wars) can significantly impact European markets and, consequently, the fund's price.

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