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LU1951224663

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Analysis and statistics

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About

LU1951224663.EUFUND represents a Luxembourg-domiciled investment fund. Specifically, it's the JPM Global Macro Sustainable Fund C (acc) - EUR, a sub-fund of JPMorgan Funds. This fund aims to achieve a return by investing globally in assets that promote environmental and/or social characteristics according to Article 8 of SFDR, pursuing a thematic sustainable investment approach, and employing macro investment strategies. It's an accumulating share class denominated in EUR, meaning any income generated is reinvested within the fund rather than distributed to investors.
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Factors

Investment Strategy: EUFUND's allocation across different asset classes (stocks, bonds, etc.) and geographic regions affects its performance and price.

Market Conditions: Overall market sentiment, economic growth, and sector-specific trends in Europe influence the value of the fund's holdings.

Interest Rates: Changes in interest rates, particularly in Europe, impact bond valuations within the fund and influence overall market sentiment.

Currency Exchange Rates: Fluctuations in the Euro (EUR) against other currencies affect the value of the fund's holdings when expressed in a different currency.

Fund Management Expertise: The skill and experience of the fund managers in selecting investments and managing risk contribute to the fund's performance and price.

Expense Ratio: The fund's expense ratio, which includes management fees and operating costs, directly impacts the net return to investors and the fund's price.

Supply and Demand: Investor demand for LU1951224663 shares compared to the available supply influences the fund's market price.

Regulatory Changes: Changes in regulations affecting the financial industry or specific sectors in Europe can impact the fund's investments and price.

Geopolitical Events: Political instability, trade disputes, or other geopolitical events in Europe or globally can create market volatility and affect the fund's price.

Company Performance: The financial performance of the individual companies held within the fund's portfolio directly impacts the fund's overall value.

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