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LU2329614817

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Analysis and statistics

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About

LU2329614817 is the ISIN (International Securities Identification Number) for a fund. Specifically, it identifies the UBS (Lux) Key Selection SICAV - Global Allocation Opportunity (USD) I-A10-dist, a sub-fund of the UBS (Lux) Key Selection SICAV, which is an open-ended investment company (SICAV) domiciled in Luxembourg. The fund aims to achieve long-term capital growth by investing globally across a range of asset classes, including equities and bonds, with a focus on opportunities identified by the fund manager. The denomination "USD" indicates the base currency of the fund. The “I-A10-dist” likely refers to the specific share class, where 'I' signifies an institutional share class, 'A10' might relate to the fee structure or other specific features, and 'dist' indicates that it is a distributing share class, meaning it pays out dividends to investors.
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Factors

Global Economic Conditions: Economic growth, inflation, interest rates, and political stability in major global economies significantly impact investor sentiment and fund performance.

Sector Performance: EUFUND's investments are likely concentrated in specific sectors. The performance of those sectors directly affects the fund's overall return.

Interest Rate Movements: Changes in interest rates, particularly within the Eurozone, can impact the value of the fund's bond holdings (if any) and influence investor preferences.

Fund Management Strategy: The investment decisions made by the fund managers, including asset allocation and security selection, heavily influence returns.

Currency Fluctuations: Currency exchange rates, especially between the Euro and other major currencies, can affect the fund's value, particularly if it holds assets denominated in non-Euro currencies.

Investor Sentiment: Overall market sentiment, driven by news events, economic data, and investor psychology, can lead to fluctuations in demand for the fund's shares.

Geopolitical Events: Events such as political instability, trade wars, or regulatory changes in Europe and globally can significantly impact the fund's performance and price.

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