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LU1185962187

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1d
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Analysis and statistics

  • Open
    102.4949$
  • Previous Close
    102.4949$
  • 52 Week Change
    --
  • Day Range
    0.00$
  • 52 Week High/Low
    --
  • Dividend Per Share
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  • Market cap
    --$
  • EPS
    --
  • Beta
    --
  • Volume
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About

LU1185962187.EUFUND refers to an investment fund, specifically the AXA WF Framlington Europe Small Cap Equity A EUR (H). This is a sub-fund of the AXA World Funds SICAV, focusing on European small-cap equities. The fund aims to achieve capital appreciation by investing primarily in stocks of smaller companies located in Europe, denominated in Euro with a hedging strategy. Its performance is subject to market fluctuations and risks associated with small-cap investments and currency hedging.
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Factors

[Underlying Asset Performance]: The fund's price directly reflects the performance of the assets it holds, such as stocks or bonds, within the EUFUND portfolio.

[Market Sentiment]: Broad market conditions and investor confidence toward the European Union or specific sectors within the fund can significantly impact its price.

[Interest Rates]: Changes in interest rates, especially within the Eurozone, affect bond valuations and overall market attractiveness, influencing the fund's worth.

[Economic Data]: Economic releases (GDP, inflation, unemployment) in the EU impact market expectations and subsequently, the fund's holdings, leading to price fluctuations.

[Fund Management Decisions]: The fund manager's asset allocation and investment strategies affect the overall performance of the EUFUND, thus impacting price.

[Currency Fluctuations]: Exchange rate movements between the Euro and other currencies can impact the value of the fund, especially if it invests in assets denominated in other currencies.

[Supply and Demand]: As with any investment, the supply of EUFUND shares versus the demand for them directly influences its price in the market.

[Geopolitical Events]: Political events, regulatory changes, or crises within the EU or globally can affect investor risk appetite and the fund's price.

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