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LU1883339589

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Analysis and statistics

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About

LU1883339589.EUFUND represents the Invesco Global Core Equity ESG Fund I Acc EUR. This is an equity fund managed by Invesco, focusing on global equities with a core investment style while integrating Environmental, Social, and Governance (ESG) factors into its investment process. The fund aims to achieve long-term capital appreciation by investing in a diversified portfolio of companies worldwide, considering both financial performance and ESG criteria.
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Factors

[Underlying Asset Performance]: The price of LU1883339589.EUFUND, an EU fund, is heavily influenced by the performance of the assets it holds, such as stocks, bonds, and other securities of European companies. If these assets perform well, the fund's value typically increases. [Economic Conditions in Europe]: Macroeconomic factors like GDP growth, inflation, interest rates, and unemployment levels within the Eurozone and broader Europe significantly impact the profitability of European companies and thus the fund's returns. [Global Market Sentiment]: Global economic trends and investor confidence can affect the overall demand for European assets. Positive global market sentiment usually leads to increased investment in European funds, driving up their prices. [Currency Fluctuations]: As the fund likely invests in assets denominated in Euros or other European currencies, fluctuations in the value of these currencies relative to the investor's home currency can affect the fund's value. [Interest Rate Changes]: Changes in interest rates set by the European Central Bank (ECB) and other European central banks can influence bond yields and the valuations of companies, thereby impacting the fund's performance. [Geopolitical Events]: Political instability, trade wars, Brexit implications, or other major geopolitical events in Europe can create uncertainty and affect investor sentiment towards European assets, leading to price volatility. [Regulatory Changes]: Changes in regulations governing financial markets in Europe, such as new tax laws or investment restrictions, can impact the profitability and attractiveness of European investments, affecting the fund's price. [Investor Demand]: The level of demand for shares of LU1883339589.EUFUND itself will influence its price. Increased demand typically drives the price up, while increased selling pressure will cause it to fall. [Fund Management Fees and Expenses]: The fund's expense ratio, which includes management fees and other operating costs, directly impacts the net return to investors. Higher fees reduce the overall returns and can make the fund less attractive. [Sector Performance]: The specific sectors in which the fund invests (e.g., technology, healthcare, finance) will influence its price based on the performance of those sectors within the European economy. [Fund Flows]: Significant inflows or outflows of capital into or out of the fund can affect its asset base and performance, potentially impacting the fund's price, especially for smaller funds. [Credit Ratings]: Changes in the credit ratings of European countries or companies whose assets are held by the fund can influence investor confidence and the perceived risk associated with those assets, impacting the fund's value.

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