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LU0542579023

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Analysis and statistics

  • Open
    99.0418$
  • Previous Close
    99.0418$
  • 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

LU0542579023 is the ISIN (International Securities Identification Number) for the Nordea 1 - European Covered Bond Fund BI EUR, a fund that invests primarily in European covered bonds, which are debt instruments backed by a pool of assets offering an additional layer of security for investors.
Commodity Market Analysis: UAE Fuel Prices Surge Up to 72% in April 2026 as Global Oil Rally

Commodity Market Analysis: UAE Fuel Prices Surge Up to 72% in April 2026 as Global Oil Rally

Ghko B|--
DAX 40 Index Analysis Today: Why the German Benchmark Is Struggling Near 23,500

DAX 40 Index Analysis Today: Why the German Benchmark Is Struggling Near 23,500

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Gold price analysis (XAU/USD): Will gold rate decrease in coming days in 2026?

Gold price analysis (XAU/USD): Will gold rate decrease in coming days in 2026?

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Solana price analysis: Solana (SOL/USD) price slid lower, what’s happening with SOL?

Solana price analysis: Solana (SOL/USD) price slid lower, what’s happening with SOL?

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Bitcoin Analysis Today: Bitcoin Holds Strong Above $70K as Bulls Defend Key Support Level

Bitcoin Analysis Today: Bitcoin Holds Strong Above $70K as Bulls Defend Key Support Level

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Microsoft's SWOT analysis: Why MSFT Is the best AI stock to buy in 2026?

Microsoft's SWOT analysis: Why MSFT Is the best AI stock to buy in 2026?

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FTSE 100 analysis: FTSE 100 falls below 10,350, what’s next for UK stock market?

FTSE 100 analysis: FTSE 100 falls below 10,350, what’s next for UK stock market?

Frances Wang|--

Factors

Fund Performance: Historical and current performance directly impact investor demand and thus price. Strong returns attract investment, raising the price.

Market Conditions: Broad economic trends, industry-specific performance, and investor sentiment influence the overall market and the fund's underlying assets.

Management Fees: Higher fees detract from returns, potentially lowering the fund's attractiveness compared to lower-cost alternatives.

Fund Size: Very large or small fund size may affect trading liquidity and impact its expense ratio.

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