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LU0866837924

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1d
1w
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Analysis and statistics

  • Open
    199.0755$
  • Previous Close
    199.0755$
  • 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

LU0866837924.EUFUND refers to Nordea 1 - Emerging Markets Corporate Bond Fund BI EUR, a Luxembourg-domiciled fund managed by Nordea Investment Funds S.A. This fund primarily invests in corporate bonds issued by companies located in or with significant exposure to emerging market countries. The fund aims to generate income and capital appreciation by selecting corporate debt securities that offer attractive risk-adjusted returns within the emerging markets universe. Potential investors should review the fund's prospectus and KIID for comprehensive information on its investment strategy, risks, and fees before investing.
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Factors

Performance of Underlying Assets: The performance of the assets held within the EUFUND directly impacts its Net Asset Value (NAV) and price. Strong performance leads to price increases, while poor performance causes declines. Market Sentiment: Overall market sentiment towards European equities influences demand for the fund. Positive sentiment boosts demand and price, whereas negative sentiment can trigger sell-offs. Currency Fluctuations: As the fund likely invests in European assets, currency fluctuations, particularly the EUR/USD exchange rate, affect returns for non-Euro based investors and influence the fund's price. Interest Rates: Changes in interest rates within the Eurozone affect the valuation of fixed-income securities held by the fund, and can also impact overall market valuations. Fund Flows: Inflows into the fund increase demand and potentially drive up the price, while outflows can put downward pressure on the price as the fund manager may need to sell assets. Economic Conditions: The overall economic health of Europe, including GDP growth, inflation, and employment rates, significantly influences the performance of European companies and, consequently, the fund's price. Political and Regulatory Events: Political instability, regulatory changes, or significant policy shifts within Europe can impact investor confidence and the performance of the companies in which the fund invests.

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