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GB00B7K0BG16

$--
--%
1d
1w
1m

分析與統計

  • 開倉
    1.9556$
  • 上一次平倉
    1.9556$
  • 52 週變更
    --
  • 日範圍
    0.00$
  • 52 週高點/低點
    --
  • 每股股息
    --
  • 市值
    --$
  • 每股盈餘
    --
  • 測試版
    --
  • 成交量
    --

關於

GB00B7K0BG16.EUFUND 代表一個投資於歐洲市場的基金,其ISIN編碼為GB00B7K0BG16。這種基金通常會將資金分散投資於多個歐洲公司的股票、債券或其他資產,旨在為投資者提供歐洲市場的投資機會,並藉由多元化降低風險。投資者應仔細研究基金的公開說明書,了解其具體的投資策略、風險因素以及費用結構。

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instrument_quote_factors

The price of GB00B7K0BG16.EUFUND, like any fund, is influenced by several factors: Underlying Asset Performance: The fund's net asset value (NAV) directly reflects the performance of the underlying assets it holds, such as stocks, bonds, or other investments. Strong performance boosts the price.

Market Sentiment: Overall market conditions and investor sentiment toward the fund's investment focus (e.g., European equities) play a crucial role. Positive sentiment typically drives prices up.

Fund Expenses: Management fees, administrative costs, and other fund expenses reduce the overall return and can impact the fund's price over time.

Supply and Demand: If demand for the fund exceeds supply, the price may increase, and vice versa. Investor buy-and-sell activity directly affects price.

Economic Conditions: Macroeconomic factors like interest rates, inflation, and economic growth in the regions or sectors the fund invests in significantly affect its price. A strong economy usually boosts the performance.

Currency Exchange Rates: For funds investing in assets denominated in foreign currencies, fluctuations in exchange rates can impact the fund's price when converted back to the fund's base currency (likely GBP).

Fund Manager Skill: The fund manager's investment decisions and ability to select profitable investments directly influence the fund's performance and, therefore, its price. Good management leads to higher prices.

Regulatory Changes: Changes in regulations affecting the fund's investment strategies or the underlying assets can indirectly impact the fund's price.

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