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LU1868878080

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Analysis and statistics

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About

LU1868878080.EUFUND refers to the Nordea 1 - Emerging Market Corporate Bond Fund BI EUR, a fund that invests primarily in corporate bonds issued in emerging markets. It aims to generate returns through income and capital appreciation by selecting bonds that offer attractive yields and exhibit sound credit quality within the emerging market corporate bond universe. The fund is managed by Nordea Investment Funds S.A.
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Factors

Fund Performance: Strong performance attracts investors, increasing demand and price; poor performance deters investors, decreasing demand and price.

Market Conditions: Overall economic climate and market sentiment impact investment choices; bullish markets typically boost fund prices, while bearish markets depress them.

Interest Rates: Rising interest rates can make fixed-income investments more attractive, potentially drawing investors away from equity funds, impacting price negatively; falling rates can have the opposite effect.

Fund Expenses: Higher management fees and operating costs can erode returns, making the fund less attractive and potentially affecting its price negatively.

Fund Size: Significant inflows or outflows can impact the fund's ability to manage assets effectively, potentially affecting performance and price.

Investor Sentiment: General investor mood and confidence can drive investment decisions, impacting demand for the fund and influencing its price.

Regulatory Changes: New regulations affecting the fund or its investments can alter its risk profile and attractiveness, influencing price.

Currency Fluctuations: Since it is EUFUND, currency fluctuation between EU currency and other currencies can affect the fund's returns, and ultimately its price.

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