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LU1363153823

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1d
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Analysis and statistics

  • Open
    118.5922$
  • Previous Close
    118.5922$
  • 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
    --$
  • EPS
    --
  • Beta
    --
  • Volume
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About

LU1363153823.EUFUND identifies a fund domiciled in Luxembourg. Specifically, it's the Pictet-Short Term Emerging Corporate Bonds, an investment fund that primarily invests in short-term, corporate bonds issued by entities in emerging market countries. The fund aims to generate income and capital appreciation while managing risk through diversification across issuers and sectors within the emerging market corporate bond universe.
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Factors

[Market Performance]: The overall performance of the financial markets, particularly equity markets in the regions and sectors the fund invests in, significantly impacts its Net Asset Value (NAV). A rising market generally leads to an increase in the fund's price.

[Underlying Asset Performance]: The performance of the individual stocks, bonds, or other assets held within the LU1363153823.EUFUND portfolio directly influences its price. Positive returns from these investments contribute to an increased NAV.

[Economic Conditions]: Macroeconomic factors like GDP growth, inflation rates, interest rates, and unemployment levels within the fund's investment regions can affect the performance of the underlying assets and consequently, the fund's price. Strong economic growth often supports higher asset values.

[Currency Fluctuations]: Since the fund likely invests in assets denominated in different currencies, fluctuations in exchange rates between those currencies and the fund's base currency (typically EUR) can impact its value. A stronger EUR against other currencies can negatively affect returns.

[Investor Sentiment]: General investor sentiment and demand for funds with similar investment strategies can affect the fund's price, especially if there are significant inflows or outflows. High demand can drive the price up, while large redemptions can put downward pressure.

[Fund Management Fees & Expenses]: The fund's management fees and operating expenses are deducted from the fund's assets, which reduces the NAV. Higher fees can result in lower returns and thus a lower price compared to similar funds with lower fees.

[Regulatory Changes]: Changes in regulations affecting the fund's investment strategies or the markets it operates in can influence its performance and price. New regulations could potentially increase compliance costs or limit investment opportunities.

[Geopolitical Events]: Major geopolitical events, such as political instability, trade wars, or international conflicts, can create market volatility and negatively impact investor sentiment, leading to fluctuations in the fund's price.

[Interest Rate Changes]: Changes in interest rates, especially if the fund invests in bonds or other fixed-income securities, can impact the value of those assets. Rising interest rates typically lead to a decrease in bond prices, while falling rates can increase them.

[Sector-Specific Performance]: If the fund focuses on specific sectors, the performance of those sectors will directly influence the fund's price. A downturn in a key sector can negatively affect the fund's overall value.

[Inflation Rates]: High inflation can erode the real value of assets, potentially impacting the fund's returns. Central banks may respond to inflation by raising interest rates, which can also affect the fund's performance.

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