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LU1159239786

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Analysis and statistics

  • Open
    24.691$
  • Previous Close
    24.691$
  • 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
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  • EPS
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  • Beta
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  • Volume
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About

LU1159239786.EUFUND represents an investment fund, specifically the Allianz Dynamic Multi Asset Strategy SRI 75 - PT EUR. This fund is domiciled in Luxembourg and aims to achieve capital growth and income through a diversified portfolio of assets, while adhering to Sustainable and Responsible Investment (SRI) principles. It primarily invests in a mix of equities, bonds, and other asset classes globally, employing a dynamic asset allocation strategy to adapt to changing market conditions. The fund targets a 75% allocation to equities.
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Factors

Fund Performance: A fund's past performance directly impacts its price; strong returns typically attract investors, increasing demand and price.

Market Conditions: Overall market trends, economic growth, and investor sentiment significantly influence fund prices; positive markets boost prices, while downturns decrease them.

Interest Rates: Interest rate hikes can negatively affect bond funds within LU1159239786, potentially lowering its price, while rate cuts may have the opposite effect.

Fund Manager Expertise: The skills and decisions of the fund manager impact asset allocation and investment choices, directly affecting the fund's performance and price.

Expense Ratio: Higher expense ratios can eat into returns, potentially making the fund less attractive and influencing its price negatively.

Fund Size: A very large fund can become difficult to manage effectively, while a small fund might lack diversification, both impacting performance and price.

Geopolitical Events: Global events like political instability or trade wars can introduce volatility, affecting investment markets and fund prices.

Currency Fluctuations: For funds with international holdings, currency fluctuations can impact returns and influence the fund's price.

Inflation: High inflation erodes purchasing power, influencing investor behavior and potentially decreasing fund prices, particularly for fixed-income assets.

Regulatory Changes: New regulations affecting the investment landscape can impact fund strategies, potentially influencing price.

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