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LU1517943608

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Analysis and statistics

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About

LU1517943608.EUFUND refers to Amundi Index MSCI Emerging Markets UCITS ETF DR, a passively managed exchange-traded fund (ETF) that tracks the MSCI Emerging Markets Index. This index represents large and mid-cap equities across emerging market countries. The ETF aims to replicate the performance of this benchmark, providing investors with diversified exposure to emerging market stocks at a relatively low cost.
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Factors

[Underlying Asset Performance]: The fund's price is directly linked to the performance of the assets it holds, likely a basket of European equities. Higher stock prices increase the fund's net asset value and thus its price.

[Market Sentiment]: Broad market optimism or pessimism toward European stocks affects demand for the fund. Positive sentiment raises demand, boosting the price, while negative sentiment lowers it.

[Economic Conditions]: Economic indicators in Europe, such as GDP growth, inflation, and interest rates, impact investor confidence and the profitability of companies within the fund's portfolio.

[Currency Fluctuations]: If the fund holds assets denominated in currencies other than the fund's base currency, exchange rate movements can influence the fund's value when converted back.

[Investor Demand]: Increased demand for LU1517943608.EUFUND drives its price upward, while decreased demand puts downward pressure.

[Fund Management Fees]: The fees charged by the fund managers can impact the fund's overall return and thus its price; higher fees may detract from performance.

[Regulatory Changes]: Changes in financial regulations affecting European markets or the fund itself can influence investor perception and the fund's price.

[Geopolitical Events]: Major political events or geopolitical risks in Europe can trigger market volatility and affect the value of the fund's holdings.

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