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LU1805378137

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Analysis and statistics

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About

LU1805378137 is the ISIN (International Securities Identification Number) for a fund, specifically the Amundi Index MSCI Europe UCITS ETF DR. This fund aims to track the performance of the MSCI Europe Index, which represents large and mid-cap equity performance across developed markets in Europe. It is a passively managed Exchange Traded Fund (ETF), meaning it replicates the index rather than attempting to outperform it. The ".EUFUND" portion likely refers to the platform or data vendor providing information on this fund, indicating it is categorized as a European Union fund. Investors typically purchase shares of this fund on a stock exchange, thereby gaining exposure to a diversified portfolio of European equities.
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Factors

Fund Performance: Historical and recent performance influences investor demand. Strong returns attract investors, increasing the fund's price.

Market Conditions: Broad market trends (bull or bear markets) affect investor sentiment and asset valuations. A rising market usually lifts fund prices.

Sector Performance: The specific sectors in which the fund invests impact its price. If the fund focuses on tech and tech is down, the fund price may decline.

Interest Rates: Interest rate hikes can make bonds more attractive, possibly drawing investors away from equity funds like EUFUND.

Expense Ratio: A high expense ratio can negatively impact returns, making the fund less attractive compared to lower-cost alternatives.

Fund Size: Large funds may be less nimble in responding to market changes compared to smaller funds, potentially affecting performance.

Currency Fluctuations: For funds holding international assets, exchange rate changes affect the fund's value when converted to the reporting currency.

Fund Manager Expertise: The fund manager's skill in selecting investments and managing risk is crucial for consistent performance and price stability.

Economic Indicators: Economic data releases (GDP, inflation, employment) shape market expectations and influence investment decisions, impacting fund prices.

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