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LU1717097684

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Analysis and statistics

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About

LU1717097684.EUFUND refers to the Nordea 1 - Emerging Markets Corporate Bond Fund AE EUR, a fund investing primarily in corporate bonds issued in emerging markets. The fund aims to provide investors with capital appreciation and income by actively managing a portfolio of emerging market corporate bonds denominated in various currencies, with a focus on EUR-hedged exposure for this specific share class (AE EUR).
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Factors

General Market Conditions: Overall economic trends and investor sentiment impact all investments, including EUFUND. Positive market conditions can push prices up, while downturns can cause declines.

Fund Performance: The fund's historical and recent performance relative to its benchmark and peers influences investor demand, directly impacting its price. Better performance typically attracts more investment.

Underlying Asset Value: The net asset value (NAV) of the fund, which reflects the market value of the underlying securities it holds (stocks, bonds, etc.), is a primary driver of its price.

Supply and Demand: Higher demand for the fund units pushes the price up, while increased selling pressure can lower it. This is driven by investor perception and market trends.

Interest Rates: Changes in interest rates, particularly within the Eurozone, can affect the valuation of the fund's bond holdings and overall attractiveness compared to other investments.

Fund Management Decisions: The fund manager's investment strategy, stock selection, and risk management directly impact performance and investor confidence, thus affecting the price.

Economic Data Releases: Key economic indicators like GDP growth, inflation, and employment figures in the Eurozone and globally can influence investor sentiment and the fund's performance.

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