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SE0012039238

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Analysis and statistics

  • Open
    149.3523$
  • Previous Close
    149.3523$
  • 52 Week Change
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  • Day Range
    0.00$
  • 52 Week High/Low
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  • Dividend Per Share
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  • Market cap
    --$
  • EPS
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  • Beta
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  • Volume
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About

SE0012039238.EUFUND represents an investment fund, specifically the Nordea Klimatfond Aktier, which is a Swedish equity fund focused on companies that contribute to climate change solutions. The fund aims to generate long-term capital growth by investing in companies that offer or use technologies and services related to renewable energy, energy efficiency, resource management, and other environmentally friendly practices. It's registered as an EU Climate Transition Benchmark fund, reflecting its commitment to environmental sustainability goals.
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Factors

FactorName: Market interest rates influence bond yields and overall investor sentiment, impacting the attractiveness of fixed-income funds like SE0012039238.EUFUND. Lower rates typically increase fund value. FactorName: Changes in the creditworthiness of the underlying bond issuers within the fund's portfolio directly affect the fund's net asset value. Downgrades lead to price decreases. FactorName: Economic conditions, such as inflation and GDP growth, shape investor expectations about future interest rates and corporate profitability, indirectly affecting bond market sentiment and fund pricing. FactorName: Supply and demand for the fund's shares in the market can cause price fluctuations, especially if there's unusual buying or selling pressure from institutional investors. FactorName: Fund management's investment decisions, including sector allocation and security selection, can impact performance relative to benchmarks and similar funds, affecting investor confidence and pricing. FactorName: Geopolitical events and global economic instability can create risk aversion and flight-to-safety behavior, impacting bond prices and fund valuations. FactorName: Regulatory changes and government policies related to the financial sector or specific industries can introduce uncertainty and affect the valuation of bonds and related funds. FactorName: Investor sentiment and risk appetite play a crucial role. Positive sentiment drives demand, increasing prices. Risk aversion decreases demand, leading to price declines.

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