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SE0007279781

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Analysis and statistics

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About

SE0007279781.EUFUND represents Danske Invest Horisont Flexibel, a Swedish-domiciled fund typically investing across a range of asset classes including equities, fixed income, and potentially alternative investments. The fund's objective is to deliver long-term capital appreciation by actively allocating to different asset classes based on prevailing market conditions and economic outlook, offering a flexible and dynamic investment approach. The specific allocation strategy and underlying holdings are determined by the fund's managers and may change over time depending on their assessment of investment opportunities and risks.
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Factors

Fund Performance: Past performance and relative performance compared to its benchmark index influence investor demand.

Market Conditions: Overall market trends (bullish or bearish) impact fund valuations and investor sentiment.

Economic Factors: Interest rates, inflation, GDP growth, and employment data affect market performance and fund returns.

Sector Performance: The fund's exposure to specific sectors (e.g., technology, healthcare) affects its value based on sector-specific performance.

Fund Management: The fund manager's expertise, investment strategy, and decision-making skills impact fund performance.

Investor Sentiment: Positive or negative investor sentiment can drive buying or selling pressure, affecting the fund's price.

Currency Fluctuations: If the fund invests in assets denominated in other currencies, exchange rate changes can impact its value.

Fund Flows: Significant inflows or outflows of capital can influence the fund's price and liquidity.

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