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SEAC

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Analysis and statistics

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About

SEAC.F represents the Amundi Index MSCI Emerging Markets UCITS ETF DR, traded on the Frankfurt Stock Exchange (FSE). This ETF aims to replicate the performance of the MSCI Emerging Markets Index, which tracks the performance of large and mid-cap companies across 24 emerging market countries. It provides investors with a diversified exposure to the equity markets of developing economies through a single investment vehicle. The ETF is denominated in Euros, which facilitates trading for investors in the Eurozone.
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Factors

SEAC.F ETF Price Factors: Underlying Asset Performance: SEAC.F's price heavily reflects the performance of its underlying assets, primarily Southeast Asian stocks.

Regional Economic Conditions: Economic factors in Southeast Asia, like GDP growth and inflation, significantly influence stock values.

Sector Performance: The performance of key sectors within the Southeast Asian market (e.g., technology, finance) impacts the ETF's overall value.

Investor Sentiment: Market optimism or pessimism towards Southeast Asian economies affects demand and, thus, the ETF's price.

Currency Fluctuations: Exchange rates between local Southeast Asian currencies and the Euro (or other trading currencies) influence returns.

Geopolitical Risks: Political instability or geopolitical tensions in the region can negatively impact investor confidence and ETF price.

Interest Rates: Changes in interest rates by central banks in Southeast Asian countries can affect corporate profitability and stock valuations.

Global Market Trends: Broader global market trends and investor risk appetite indirectly influence SEAC.F by affecting flows to emerging markets.

ETF Supply & Demand: Creation and redemption activity of SEAC.F shares affects its price, particularly relative to its net asset value (NAV).

Fund Management Fees: The ETF's expense ratio can slightly affect the overall return to investors and indirectly its relative attractiveness.

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