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LU1035457651

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Analysis and statistics

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About

LU1035457651 represents a Luxembourg-domiciled investment fund, often referred to as a SICAV (Société d'Investissement à Capital Variable). These funds pool money from multiple investors to invest in a diversified portfolio of assets, such as stocks, bonds, or other securities, according to a specific investment strategy outlined in the fund's prospectus. The EUFUND designation typically indicates the fund is marketed and available for distribution within the European Union, subject to regulatory requirements like the UCITS directive. Individual fund characteristics, including its investment objective, risk profile, management fees, and performance, can be found in its official documentation.
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Factors

Fund Performance: The fund's historical performance and its ability to generate returns relative to its benchmark influence investor demand and, consequently, the price. Market Conditions: Overall market sentiment, economic indicators, and geopolitical events can affect investor confidence and impact fund valuations. Interest Rates: Changes in interest rates can impact bond yields and the attractiveness of fixed-income assets within the fund, thus affecting the price. Management Expertise: The skill and experience of the fund's management team in making investment decisions and navigating market fluctuations play a crucial role. Fund Size and Liquidity: The size of the fund and the liquidity of its underlying assets can affect its ability to efficiently manage inflows and outflows, influencing price stability. Fund Expenses: Management fees, operating expenses, and transaction costs can reduce the fund's returns, thereby impacting its price.

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