Markets.com Logo

LU0878006104

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

Analysis and statistics

  • Open
    75.8329$
  • Previous Close
    75.8329$
  • 52 Week Change
    --
  • Day Range
    0.00$
  • 52 Week High/Low
    --
  • Dividend Per Share
    --
  • Market cap
    --$
  • EPS
    --
  • Beta
    --
  • Volume
    --

About

LU0878006104.EUFUND refers to the Carmignac Portfolio Grande Europe A EUR Acc fund. This fund is a sub-fund of the Carmignac Portfolio SICAV, focusing on European equities. It seeks to outperform its reference indicator through a flexible and active management style, investing in a range of companies across different market capitalizations and sectors within the European region. The "Acc" in the name indicates that the fund is an accumulating fund, meaning that any income generated is reinvested into the fund rather than distributed to investors.

Iran's Hormuz Gambit: Leveraging a Chokepoint for Economic Leverage and Global Impact

Ava Grace|--

Gold Market Resilience: Navigating Sell-offs and Sustaining Bull Run

Noah Lee|--

Meta Platforms: Navigating Legal Headwinds and AI Opportunities for Investors

Liam James|--

US Stocks Poised for Potential Rebound Amidst Easing Geopolitical Tensions and Shifting Investor Positioning

Sophia Claire|--
Trade Desk (TTD) Analysis: Is the 2026 Tech Dip a Strategic Entry Point for UAE Investors?

Trade Desk (TTD) Analysis: Is the 2026 Tech Dip a Strategic Entry Point for UAE Investors?

Ghko B|--
Cryptocurrency-related stocks analysis: MicroStrategy (MSTR) stock, BMNR stock, Coinbase

Cryptocurrency-related stocks analysis: MicroStrategy (MSTR) stock, BMNR stock, Coinbase

Ghko B|--
XRP price analysis: XRP is hovering around $1.35, what’s next for Ripple (XRP/USD)?

XRP price analysis: XRP is hovering around $1.35, what’s next for Ripple (XRP/USD)?

Frances Wang|--

Factors

Underlying Assets: The fund's net asset value is directly linked to the performance of its investments, primarily stocks or bonds, held within the portfolio.

Market Conditions: Broader economic trends, investor sentiment, and global events influence the value of the assets the fund invests in.

Interest Rates: Changes in interest rate environments can impact the value of bond holdings if any, and can affect equity valuations.

Fund Management: The fund manager's decisions in asset allocation, security selection, and trading strategies impact fund performance.

Expenses and Fees: Management fees, operating expenses, and transaction costs associated with running the fund reduce returns.

Supply and Demand: High demand can drive up the fund's price, while increased selling pressure can lead to price declines.

People Also Watch

Latest news

Ukraine Forges New Alliances in the Middle East, Leveraging Defense Expertise

Sophia Claire|--

US Reinforces Middle East Presence Amid Escalating Tensions with Iran

Noah Lee|--

Fed Policy Pivot: Inflation Risks Hint at Potential Rate Hikes, Shifting Market Expectations

Sophia Claire|--

Latest Education Articles

S&P 500, Nasdaq, Dow & Russell 2000: Important Technical Levels Traders Should Watch

S&P 500, Nasdaq, Dow & Russell 2000: Important Technical Levels Traders Should Watch

Ghko B|--
What is CCI strategy: What is the formula for Commodity Channel Index?

What is CCI strategy: What is the formula for Commodity Channel Index?

Ghko B|--
Relative Strength Index (RSI) in trading: RSI indicator buy and sell signals, RSI explained with examples

Relative Strength Index (RSI) in trading: RSI indicator buy and sell signals, RSI explained with examples

Ghko B|--