Markets.com Logo
markets.com

LU0997716823

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

Analysis and statistics

  • Open
    38.5707$
  • Previous Close
    38.5707$
  • 52 Week Change
    --
  • Day Range
    0.00$
  • 52 Week High/Low
    --
  • Dividend Per Share
    --
  • Market cap
    --$
  • EPS
    --
  • Beta
    --
  • Volume
    --

About

LU0997716823.EUFUND refers to Nordea 1 - Emerging Market Corporate Bond Fund BI EUR, a sub-fund of Nordea 1, SICAV, domiciled in Luxembourg. This fund primarily invests in corporate bonds issued in or related to emerging markets. Its investment objective is to provide investors with capital appreciation by investing in a diversified portfolio of emerging market corporate debt securities denominated in various currencies. The fund is managed by Nordea Investment Funds S.A. and is classified as fixed income.
markets.com
Week Ahead: US June inflation and BoC rate decision are on the watch

Week Ahead: US June inflation and BoC rate decision are on the watch

Darius Anucauskas|--
USD/CAD Forecast: Pair Recovers from Three-Week Low Ahead of Canadian Jobs Data

USD/CAD Forecast: Pair Recovers from Three-Week Low Ahead of Canadian Jobs Data

Julian Parker|--
XRP Price Forecast 2026–2030: Can It Reach New Highs?

XRP Price Forecast 2026–2030: Can It Reach New Highs?

Julian Parker|--
Samsung Stock Price Forecast 2026–2030: AI Memory Cycle, HBM4 Expansion, and Market Structure

Samsung Stock Price Forecast 2026–2030: AI Memory Cycle, HBM4 Expansion, and Market Structure

Julian Parker|--
Why Is SK Hynix Stock Falling Before Its Nasdaq Listing?

Why Is SK Hynix Stock Falling Before Its Nasdaq Listing?

Julian Parker|--
KOSPI takes a beating, DXY awaits for the next moving data

KOSPI takes a beating, DXY awaits for the next moving data

Darius Anucauskas|--
Silver Price Forecast: Weak US Jobs Data Lifts XAG/USD, but Risks Remain

Silver Price Forecast: Weak US Jobs Data Lifts XAG/USD, but Risks Remain

Julian Parker|--

Factors

Investment Strategy: The fund's focus (e.g., specific sectors, regions) influences returns.

Market Conditions: Overall market performance and economic trends impact asset values.

Fund Performance: Historical returns and relative performance against benchmarks affect investor demand.

Management Fees: Expense ratios and other fees directly impact net returns.

Investor Demand: High demand can drive up share prices, and vice versa.

People Also Watch

Latest news

Gold Price Today Falls Below $4,100 as Gulf Conflict Drives Oil, Yields and Fed Rate-Hike Bets

Gold Price Today Falls Below $4,100 as Gulf Conflict Drives Oil, Yields and Fed Rate-Hike Bets

Julian Parker|--
KOSPI Plunges 8% as SK Hynix and Samsung Lead Chip Sell-Off

KOSPI Plunges 8% as SK Hynix and Samsung Lead Chip Sell-Off

Julian Parker|--
TSMC Stock in Focus After Record Q2 Revenue Beats Estimates

TSMC Stock in Focus After Record Q2 Revenue Beats Estimates

Julian Parker|--

Latest Education Articles

What Are Penny Stocks? How They Work, Examples and Risks

What Are Penny Stocks? How They Work, Examples and Risks

Julian Parker|--
5 Best CFD Brokers with Welcome Bonus in 2026

5 Best CFD Brokers with Welcome Bonus in 2026

Julian Parker|--
10 Best CFD Demo Accounts in the UAE

10 Best CFD Demo Accounts in the UAE

Julian Parker|--
Recommended Topics
markets.com