Markets.com Logo
markets.com

LU0640453691

$--
--%
1d
1w
1m

Analysis and statistics

  • Open
    60.1877$
  • Previous Close
    60.1877$
  • 52 Week Change
    --
  • Day Range
    0.00$
  • 52 Week High/Low
    --
  • Dividend Per Share
    --
  • Market cap
    --$
  • EPS
    --
  • Beta
    --
  • Volume
    --

About

LU0640453691 is the ISIN (International Securities Identification Number) for the Allianz Strategy 50 R EUR fund. This is a Luxembourg-domiciled equity fund managed by Allianz Global Investors. The fund aims to generate long-term capital growth by investing primarily in global equity markets, with a focus on companies that are expected to benefit from structural changes and growth trends.
markets.com
US June CPIs today & BoC rate decision tomorrow

US June CPIs today & BoC rate decision tomorrow

Darius Anucauskas|--
AMD Stock Price Forecast: AI Growth vs Valuation

AMD Stock Price Forecast: AI Growth vs Valuation

Julian Parker|--
Week Ahead: US June inflation and BoC rate decision are on the watch

Week Ahead: US June inflation and BoC rate decision are on the watch

Darius Anucauskas|--
USD/CAD Forecast: Pair Recovers from Three-Week Low Ahead of Canadian Jobs Data

USD/CAD Forecast: Pair Recovers from Three-Week Low Ahead of Canadian Jobs Data

Julian Parker|--
XRP Price Forecast 2026–2030: Can It Reach New Highs?

XRP Price Forecast 2026–2030: Can It Reach New Highs?

Julian Parker|--
Samsung Stock Price Forecast 2026–2030: AI Memory Cycle, HBM4 Expansion, and Market Structure

Samsung Stock Price Forecast 2026–2030: AI Memory Cycle, HBM4 Expansion, and Market Structure

Julian Parker|--
Why Is SK Hynix Stock Falling Before Its Nasdaq Listing?

Why Is SK Hynix Stock Falling Before Its Nasdaq Listing?

Julian Parker|--

Factors

Fund NAV: Net Asset Value calculation reflects underlying holdings' market values.

Market Sentiment: Investor optimism or pessimism influences demand and price.

Economic Conditions: Macroeconomic factors such as GDP growth and inflation.

Interest Rates: Changes impact attractiveness of fixed income and equities.

Company Performance: Performance of companies held within the fund's portfolio.

Fund Management: Managerial decisions on asset allocation and security selection.

Sector Performance: Performance of sectors represented in the fund’s holdings.

Geopolitical Events: Political instability and global events impact markets.

Currency Fluctuations: Exchange rate movements impact fund returns.

Fund Flows: Inflows increase and outflows decrease fund value.

People Also Watch

Latest news

IBM Stock Sinks 25% as AI Spending Shift Hits Software Budgets

IBM Stock Sinks 25% as AI Spending Shift Hits Software Budgets

Julian Parker|--
Oil Prices Climb as Hormuz Shipping Risks Threaten Gulf Supply

Oil Prices Climb as Hormuz Shipping Risks Threaten Gulf Supply

Julian Parker|--
ASML Stock in Focus After Q2 Sales Beat and 2026 Guidance Upgrade

ASML Stock in Focus After Q2 Sales Beat and 2026 Guidance Upgrade

Julian Parker|--

Latest Education Articles

What is an Earnings Report? How to Read & Trade Them

What is an Earnings Report? How to Read & Trade Them

Julian Parker|--
What Are Penny Stocks? How They Work, Examples and Risks

What Are Penny Stocks? How They Work, Examples and Risks

Julian Parker|--
5 Best CFD Brokers with Welcome Bonus in 2026

5 Best CFD Brokers with Welcome Bonus in 2026

Julian Parker|--
Recommended Topics
markets.com