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LU0866838575

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1d
1w
1m

Analysis and statistics

  • Open
    391.5503$
  • Previous Close
    391.5503$
  • 52 Week Change
    --
  • Day Range
    0.00$
  • 52 Week High/Low
    --
  • Dividend Per Share
    --
  • Market cap
    --$
  • EPS
    --
  • Beta
    --
  • Volume
    --

About

LU0866838575.EUFUND refers to the Nordea 1 - Global Stable Equity Fund AE EUR, a sub-fund of the Nordea 1 SICAV, domiciled in Luxembourg. This fund aims to provide long-term capital appreciation by investing primarily in a diversified portfolio of global equities that are considered to be relatively stable, meaning they exhibit lower volatility compared to the broader market.
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Factors

Fund Performance: Historical returns and relative performance versus its benchmark significantly influence investor demand and, consequently, its price. Market Conditions: Broad market trends (bull or bear markets), sector-specific performance (e.g., European equities), and macroeconomic factors impact the fund's underlying assets. Interest Rates: Changes in interest rates, particularly within the Eurozone, affect valuations of fixed-income securities and the overall investment climate. Inflation: Rising inflation erodes purchasing power and can impact corporate earnings, influencing the value of equity holdings within the fund. Currency Fluctuations: Exchange rate movements between the Euro and other currencies can impact the value of assets denominated in foreign currencies. Fund Flows: Significant inflows or outflows of investor capital can affect the fund's liquidity and necessitate adjustments in portfolio holdings, impacting the price. Management Fees: The fund's expense ratio and management fees directly reduce returns and can make it less attractive compared to lower-cost alternatives. Economic Growth: Economic growth in the Eurozone impacts corporate profitability and investor sentiment, driving demand for European equity funds. Geopolitical Events: Political instability, trade wars, and other geopolitical events can create uncertainty and volatility in financial markets, affecting fund prices.

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