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LU2168558927

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1d
1w
1m

Analysis and statistics

  • Open
    8.3324$
  • Previous Close
    8.3324$
  • 52 Week Change
    --
  • Day Range
    0.00$
  • 52 Week High/Low
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  • Dividend Per Share
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  • Market cap
    --$
  • EPS
    --
  • Beta
    --
  • Volume
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About

LU2168558927.EUFUND refers to Amundi Index MSCI Emerging Markets SRI UCITS ETF DR, an exchange-traded fund (ETF) managed by Amundi Asset Management. This ETF aims to replicate the performance of the MSCI Emerging Markets SRI Filtered Index, which focuses on companies in emerging markets that meet specific environmental, social, and governance (ESG) criteria. The .EUFUND extension is likely specific to a particular data provider or platform.
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Factors

Fund price fluctuations for LU2168558927.EUFUND, like most funds, are driven by several factors. Portfolio Performance: The primary driver is the performance of the underlying assets held within the fund. Positive returns increase the Net Asset Value (NAV), and therefore the price, while negative returns decrease it. Market Conditions: Broad market trends and economic factors significantly impact the assets within the fund. Bull markets generally lift fund prices, while bear markets depress them. Interest Rates: Changes in interest rates can affect bond valuations if the fund holds bonds, and influence investor sentiment towards equities. Investor Sentiment: Investor confidence or fear can lead to increased buying or selling pressure, affecting fund demand and consequently, price. Large redemptions can force the fund to sell assets, potentially lowering the NAV. Currency Fluctuations: If the fund invests in assets denominated in foreign currencies, exchange rate movements can impact the fund's value when translated back to the fund's base currency. Fund Expenses: Management fees, operating expenses, and other costs are deducted from the fund's assets, reducing the overall return and potentially affecting the price. Fund Size & Liquidity: A very large fund might be harder to manage and achieve high returns. Poor liquidity in underlying assets can also affect the fund's ability to trade effectively, impacting the NAV. Specific Sector Performance: If the fund focuses on a particular sector (e.g., technology), the performance of that sector will heavily influence the fund's price.

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