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LU0634319239

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Analysis and statistics

  • Open
    1017.5863$
  • Previous Close
    1017.5863$
  • 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
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  • Beta
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  • Volume
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About

LU0634319239 is the ISIN (International Securities Identification Number) for a fund managed by Nordea Investment Funds S.A. The fund is formally named Nordea 1 - Emerging Market Corporate Bond Fund EUR Hedged BP. It typically invests primarily in a diversified portfolio of corporate bonds denominated in emerging market currencies or issued by entities with significant exposure to emerging markets, with the EUR Hedged BP share class employing currency hedging to mitigate the impact of currency fluctuations between the emerging market currencies and the Euro. The fund's investment objective is to provide investors with long-term capital appreciation and income. You can find further details about the fund, including its investment strategy, performance, and risk factors, in its official prospectus and Key Investor Information Document (KIID).

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Factors

Fund Performance: Historical and current investment performance greatly influences investor demand, impacting the fund's net asset value (NAV).

Market Conditions: Overall market trends, economic indicators, and investor sentiment in the European markets significantly affect the underlying assets held by the fund.

Sector Allocation: The fund's specific allocation to different sectors within the European economy impacts its performance based on the performance of those sectors.

Expense Ratio: The fund's management fees and operating expenses directly reduce the returns available to investors, influencing its price.

Interest Rates: Changes in interest rates can affect the valuations of fixed-income assets within the fund's portfolio and impact overall market valuations.

Currency Fluctuations: As the fund invests in European assets, fluctuations in exchange rates between the Euro and other currencies can impact the fund's value.

Regulatory Changes: New regulations or policy changes within the European Union or specific countries can affect the businesses and industries in which the fund invests.

Fund Flows: Inflows of new capital into the fund or outflows from investors redeeming shares can impact the fund's ability to manage its portfolio efficiently.

Company-Specific News: News and events related to the specific companies held within the fund's portfolio will directly influence their stock prices, affecting the fund's value.

Geopolitical Events: Major geopolitical events or crises in Europe or globally can create market volatility and impact investor sentiment, affecting the fund's price.

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