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LU1340096590

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Analysis and statistics

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About

LU1340096590.EUFUND refers to a financial product issued in Luxembourg. Based on its ISIN, LU1340096590, it is likely an investment fund. Further research into the specific fund using its ISIN on financial data providers (like Bloomberg, Reuters, or Morningstar) is necessary to determine its name, investment strategy, asset allocation, management company, and performance characteristics. The suffix ".EUFUND" likely denotes that the data provider categorizes it as a European fund.
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Factors

Fund Performance: Past performance relative to its benchmark impacts investor demand, directly influencing price. Strong performance typically attracts inflows, increasing the fund's net asset value and price. Market Conditions: Broad market trends like bull or bear markets significantly affect investor sentiment and investment flows, thus changing the price. Interest Rates: Changes in interest rates affect the attractiveness of the fund's underlying assets, particularly bonds, impacting the fund's price. Economic Indicators: Economic data releases (e.g., GDP, inflation, unemployment) influence investor confidence and risk appetite, leading to price fluctuations. Currency Exchange Rates: Given that LU1340096590 is a European fund, currency movements between EUR and other currencies impact its value for non-EUR investors. Fund Management Strategy: Changes in the investment strategy or the fund manager's decisions can influence investor perception and, consequently, the fund's price. Fund Size and Liquidity: Large funds may face challenges in deploying capital effectively, while low liquidity can increase price volatility. Investor Sentiment: General investor mood and risk aversion levels regarding the specific asset class held by the fund affect fund flows and price. Expenses Ratio: High expense ratios may deter investors, negatively impacting demand and potentially the price, while low costs attract more.

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