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LU0939074265

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

Analysis and statistics

  • Open
    22.6268$
  • Previous Close
    22.6268$
  • 52 Week Change
    --
  • Day Range
    0.00$
  • 52 Week High/Low
    --
  • Dividend Per Share
    --
  • Market cap
    --$
  • EPS
    --
  • Beta
    --
  • Volume
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About

LU0939074265 is the ISIN (International Securities Identification Number) for a specific fund. The ".EUFUND" part is not a standard or universally recognized suffix attached to ISINs. It's likely a designation used within a particular database, reporting system, or platform to categorize or identify funds related to the European Union or European Fund structures. Without knowing the specific system where this designation is used, it's impossible to define it precisely, but it strongly suggests a connection to EU-domiciled or EU-regulated investment funds.
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Factors

[Underlying Asset Performance]: The price of LU0939074265.EUFUND is directly linked to the performance of its underlying assets, primarily European stocks. Rising stock prices increase the fund's value.

[Market Sentiment]: Overall investor optimism or pessimism towards European equities significantly influences fund demand and price. Positive sentiment drives inflows and higher prices.

[Economic Conditions in Europe]: Factors like GDP growth, inflation, and unemployment rates in the Eurozone impact company earnings and stock valuations, thus affecting the fund's NAV.

[Interest Rate Changes]: Interest rate decisions by the European Central Bank (ECB) affect borrowing costs for companies and investor appetite for stocks, influencing the fund's price.

[Currency Fluctuations]: Changes in the Euro's value relative to other currencies can impact the fund's returns, especially if it holds stocks of multinational corporations.

[Fund Flows]: Significant inflows into or outflows from the fund can affect its share price, particularly if the fund manager needs to rapidly buy or sell underlying assets.

[Fund Management Strategy]: The skill of the fund manager in selecting and managing the portfolio of European stocks plays a crucial role in the fund's performance and price.

[Expense Ratio and Fees]: The fund's operating expenses and management fees directly reduce investor returns, impacting its attractiveness and potentially its price relative to competitors.

[Geopolitical Events]: Major political events or crises in Europe can cause market volatility and affect investor confidence, impacting the fund's price.

[Regulatory Changes]: New regulations affecting European financial markets or the fund itself can alter investor perceptions and influence its valuation.

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