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LU1095741127

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1d
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Analysis and statistics

  • Open
    86.3761$
  • Previous Close
    86.3761$
  • 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

LU1095741127 identifies a specific share class of the Nordea 1 - Stable Return Fund BP EUR, a sub-fund within the Nordea 1 SICAV. This fund is managed by Nordea Investment Funds S.A. and invests primarily in a diversified portfolio of debt securities, money market instruments, and other short-term investments globally, aiming to provide a relatively stable return while managing risk. The "BP EUR" designation indicates the share class is priced in Euros and might have specific features, such as distribution policy, fee structure, or eligibility requirements, which are detailed in the fund's prospectus and key investor information document (KIID).
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Factors

Market Performance: The underlying assets held within the LU1095741127.EUFUND portfolio heavily influence its price. Positive market performance drives prices up; conversely, negative performance causes prices to fall.

Fund Management: Investment decisions made by the fund manager, including asset allocation and security selection, impact the fund's returns and consequently, its price. A skilled manager can generate better returns.

Investor Demand: High demand for the fund can push its price higher, while significant redemptions or selling pressure can lead to price decreases. Supply and demand dynamics play a crucial role.

Economic Conditions: Macroeconomic factors such as interest rates, inflation, GDP growth, and unemployment rates can affect the overall market and specific sectors the fund invests in, influencing its price.

Geopolitical Events: Global events, political instability, and policy changes can create market volatility and affect investor sentiment, which, in turn, impacts the fund's price, especially if it has international exposure.

Currency Fluctuations: If the fund invests in assets denominated in a foreign currency, fluctuations in exchange rates can impact the fund's returns and price when converted back to the base currency.

Sector Performance: The performance of the specific sectors in which the fund invests is a critical factor. If the targeted sectors outperform, the fund's price is likely to increase.

Fund Fees & Expenses: Higher expense ratios and management fees can detract from the fund's returns, potentially impacting its price compared to similar funds with lower costs.

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