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LU1469429549

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Analysis and statistics

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About

LU1469429549 is an ISIN (International Securities Identification Number) that identifies a specific financial security. In this instance, LU1469429549.EUFUND refers to a fund managed by Eufund, specifically the Eufund - Dynamic Multi Assets Fund F EUR Acc. It is an open-end investment fund domiciled in Luxembourg. The fund's objective is to achieve long-term capital growth through a dynamic asset allocation strategy. The fund invests in a diversified portfolio of global assets, including equities, bonds, commodities, and currencies. The "F EUR Acc" designation indicates the share class is denominated in Euros and is an accumulating share class, meaning that income generated by the fund is reinvested rather than distributed to investors.
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Factors

Fund Performance: A fund's historical and current investment performance significantly affects its price. Strong returns attract more investors, increasing demand and potentially the price.

Market Conditions: General market trends, economic indicators (like GDP growth, inflation, interest rates), and investor sentiment impact all funds, including LU1469429549.EUFUND.

Underlying Assets: The value and performance of the specific assets (stocks, bonds, etc.) held within the EUFUND directly influence its overall price.

Fund Flows: Inflows (new investments) and outflows (redemptions) can affect the fund's price, especially if significant. Large outflows might necessitate selling assets.

Expense Ratio: The fund's expense ratio (management fees, operating costs) reduces returns and therefore affects the relative attractiveness and potential price.

Currency Fluctuations: For funds investing in international assets, currency exchange rates between the fund's base currency and the currencies of its investments impact the fund price.

Interest Rates: Changes in interest rates can influence the value of fixed-income securities held within the fund, and indirectly influence stock valuations.

Economic Events: Major economic events, political instability, or regulatory changes in the regions where the fund invests can impact market sentiment and asset values.

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