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LU0964941651

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1d
1w
1m

Analysis and statistics

  • Open
    89.3382$
  • Previous Close
    89.3382$
  • 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

LU0964941651.EUFUND represents a fund, specifically the Nordea 1 - European Covered Bond Fund BD EUR, a sub-fund of Nordea 1, SICAV, domiciled in Luxembourg. It primarily invests in euro-denominated covered bonds issued by European financial institutions, seeking to generate income and capital appreciation while focusing on credit quality and diversification within the covered bond market. The fund is geared towards investors seeking exposure to relatively secure fixed-income assets within the European financial sector.
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Factors

Fund Performance: Historical and recent fund performance directly impacts its price. Strong returns attract investors, increasing demand and the fund's net asset value (NAV).

Market Conditions: Overall market trends, including bull or bear markets, significantly influence the value of underlying assets held by LU0964941651.EUFUND.

Economic Indicators: Macroeconomic factors like interest rates, inflation, and GDP growth in relevant regions can affect the performance of companies and assets within the fund's portfolio.

Investor Sentiment: Investor confidence and risk appetite play a role. Positive sentiment can drive inflows, while fear can lead to redemptions, impacting the fund's price.

Management Fees: The fund's expense ratio and management fees directly affect returns. Higher fees can reduce profitability and potentially impact investor demand.

Currency Fluctuations: Since LU0964941651.EUFUND likely invests in assets denominated in different currencies, exchange rate movements can affect its value when converted back to the fund's base currency.

Fund Size: The size of the fund can affect its liquidity and trading costs. Very large funds might face challenges in efficiently deploying capital, while smaller funds could be more volatile.

Regulatory Changes: Changes in regulations affecting the financial industry or specific sectors in which the fund invests can impact asset valuations and investor sentiment.

Geopolitical Events: Global events like political instability, trade wars, or unexpected crises can create market volatility and affect the fund's holdings.

Specific Holdings Performance: The performance of individual companies or assets within the fund's portfolio directly affects the overall fund's NAV.

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