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LU1107613173

$--
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1d
1w
1m

Analysis and statistics

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About

LU1107613173.EUFUND refers to the EUR H2O MultiReturns EUR ND share class of the H2O MultiReturns fund. H2O MultiReturns is a subfund of the H2O MultiReturns UCITS fund, which is managed by H2O Asset Management. The fund aims to generate returns by dynamically allocating assets across various global markets, including equities, bonds, currencies, and commodities, utilizing both fundamental and technical analysis. The EUR H2O MultiReturns EUR ND share class is denominated in Euros and is a non-distributing share class, meaning that any income generated by the fund is reinvested. The fund is subject to market risk, currency risk, and credit risk, among others.
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Factors

Here's a breakdown of factors influencing the price of LU1107613173.EUFUND: Market Conditions: Broad economic trends, investor sentiment, and overall market performance significantly impact fund prices.

Fund Holdings Performance: The individual performance of the assets (stocks, bonds, etc.) held within the EUFUND portfolio directly influences its overall value.

Interest Rates: Changes in interest rates, particularly within the Eurozone, can affect bond yields and thus the fund's fixed income component.

Eurozone Economy: Economic health of the Eurozone countries has direct consequences on businesses and investments held within the fund.

Fund Management: Decisions made by the fund managers regarding asset allocation, security selection, and trading strategies affect returns.

Currency Fluctuations: Exchange rate movements between the Euro and other currencies can impact the fund's value if it holds assets outside the Eurozone.

Investor Demand: High demand for the fund can drive up its price, while increased selling pressure can lower it.

Inflation: Inflation rates and expectations can influence investment decisions and the attractiveness of assets held by the fund.

Geopolitical Events: Global events like political instability or trade wars can trigger market volatility and impact fund prices.

Regulatory Changes: New regulations impacting financial markets or the industries the fund invests in can affect performance.

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