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LU1301506678

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Analysis and statistics

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About

LU1301506678.EUFUND refers to Nordea 1 - Alpha 15 MA Fund AP EUR, an actively managed, multi-asset fund primarily investing in global equities, fixed income, and alternative assets. It aims to generate long-term capital appreciation while managing risk by dynamically adjusting asset allocation based on market conditions and economic outlook. The fund's performance is typically compared against a blended benchmark to evaluate its success in delivering alpha (excess return).
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Factors

Investment Strategy: The fund's asset allocation and sector focus influence returns.

Market Conditions: Overall market performance, especially in the fund's geographical or sector focus, affects NAV.

Economic Factors: Economic growth, inflation, and interest rates impact the underlying assets' performance.

Fund Management: The skill of the fund manager in selecting and managing investments is a key driver.

Expense Ratio: Higher fees can detract from overall returns, impacting the fund's price.

Supply and Demand: Investor demand for the fund's shares relative to supply can influence market price.

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