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LU2097827153

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Analysis and statistics

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About

LU2097827153.EUFUND represents a sub-fund of Nordea 1, SICAV, specifically the Nordea 1 - European High Yield Stars Bond Fund, BP-EUR share class. This fund invests primarily in high-yielding corporate bonds issued by European companies. It aims to generate income and capital appreciation by actively managing a diversified portfolio of these securities. Investors should consider the fund's higher risk profile compared to investment-grade bonds due to the increased credit risk associated with high-yield debt.
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Factors

Market Conditions: Overall investor sentiment and economic trends influence demand and therefore the price.

Underlying Assets: The value of assets held by EUFUND directly impacts its net asset value (NAV) and price.

Fund Performance: A fund's historical returns relative to its benchmark affect investor interest and price.

Interest Rates: Rising interest rates can make bonds less attractive, potentially lowering the price.

Inflation: High inflation erodes the value of fixed-income investments, possibly decreasing the price.

Credit Risk: The creditworthiness of debt securities held by the fund affects investor confidence and price.

Geopolitical Events: Global political and economic instability can create uncertainty, impacting market and fund price.

Fund Flows: Large inflows or outflows of capital can influence the demand and therefore the share price.

Management Fees: High fees reduce the overall return, potentially impacting investor interest and price.

Currency Fluctuations: If the fund invests in foreign assets, currency changes impact the fund's NAV and price.

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