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LU1479925726

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1m

Analysis and statistics

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About

LU1479925726.EUFUND refers to a Luxembourg-domiciled investment fund. While the specific name of the fund is not immediately apparent from the ISIN, it is likely an open-ended fund (UCITS) due to its structure and the fact it is registered in Luxembourg. Without further details, it's impossible to determine the fund's investment strategy, asset allocation, or associated risks; prospective investors should consult the fund's prospectus and Key Investor Information Document (KIID) for comprehensive information.
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Factors

The price of LU1479925726.EUFUND, like most funds, is primarily affected by several key factors: Market Performance: The performance of the underlying assets held within the fund's portfolio directly impacts its Net Asset Value (NAV), and hence, its price. If the fund invests in stocks, bonds, or other assets, their price fluctuations will be reflected in the fund's overall value. Fund Management: The skill and strategy of the fund manager play a crucial role. Their investment decisions, asset allocation, and risk management strategies influence the fund's returns and perceived value. Investor Sentiment: Demand and supply dynamics are important. Positive investor sentiment towards the fund or the sectors it invests in can increase demand, driving the price up. Conversely, negative sentiment can lead to outflows and price decreases. Economic Conditions: Macroeconomic factors such as interest rates, inflation, economic growth, and political stability can significantly impact the fund's underlying investments and, therefore, its price. Fees and Expenses: Fund expenses, including management fees, operating expenses, and transaction costs, are deducted from the fund's assets, indirectly affecting its returns and overall price. Higher fees can lead to lower returns and potentially a less attractive price.

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