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LU1554442662

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Analysis and statistics

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About

LU1554442662.EUFUND represents a sub-fund of the Nordea 1 - Global Stable Equity Fund, focusing on investments in global equities. It aims to provide a stable return profile with lower volatility compared to the broader equity market by selecting companies with strong balance sheets, predictable cash flows, and relatively stable earnings. The fund employs a quantitative approach to portfolio construction, seeking to identify undervalued companies that exhibit these characteristics.
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Factors

Economic Conditions: Changes in economic growth, inflation, and interest rates in the Eurozone influence the performance of companies held in the fund, thereby impacting its price.

Market Sentiment: Investor confidence and risk appetite affect demand for the fund. Positive sentiment can drive up the price, while negative sentiment can lead to price declines.

Sector Performance: The fund's allocation to various sectors, such as technology or healthcare, means its price is heavily influenced by the performance of those specific sectors.

Fund Management: The fund manager's investment decisions, stock selection, and trading strategies directly impact the fund's returns and, consequently, its price.

Currency Fluctuations: If the fund invests in assets denominated in currencies other than the Euro, exchange rate fluctuations can affect the fund's price when converted back to Euros.

Geopolitical Events: Unexpected political events, trade wars, or regulatory changes can create uncertainty and impact the fund's investments, leading to price volatility.

Fund Flows: Large inflows of investments into the fund can increase its price, while significant outflows can put downward pressure on the price as the fund needs to sell assets.

Company-Specific News: News and events related to individual companies within the fund's portfolio, such as earnings reports or product launches, influence the fund's overall performance and price.

Regulatory Changes: New regulations or changes to existing laws affecting the financial markets or the fund's investments can have a direct impact on the fund's price.

Interest Rate Changes: Interest rate hikes can make bonds less attractive, impacting the fund's NAV and the price, while rate cuts can have the opposite effect.

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