Fondos liquidativos

Fondo: CAIXABANK COMUNICACION MUNDIAL, FI CLASE ESTANDAR

Fecha

Valor liquidativo

09/05/2021 28,3808245 euros
08/05/2021 28,382263 euros
07/05/2021 28,38370194 euros
06/05/2021 28,40232854 euros
05/05/2021 28,30643375 euros
04/05/2021 28,2470045 euros
03/05/2021 28,57164804 euros
02/05/2021 28,70625643 euros
01/05/2021 28,70770951 euros
30/04/2021 28,70916329 euros
29/04/2021 28,78358866 euros
28/04/2021 28,565379 euros
27/04/2021 28,68090128 euros
26/04/2021 28,76010598 euros
25/04/2021 28,64275916 euros
24/04/2021 28,64420649 euros
23/04/2021 28,64565422 euros
22/04/2021 28,48414361 euros
21/04/2021 28,6075037 euros
20/04/2021 28,48478903 euros
19/04/2021 28,79594858 euros
18/04/2021 29,0599148 euros
17/04/2021 29,06138785 euros
16/04/2021 29,06286157 euros
15/04/2021 29,04611823 euros
14/04/2021 28,66571461 euros
13/04/2021 28,94365442 euros
12/04/2021 28,88024689 euros
11/04/2021 28,97787758 euros
10/04/2021 28,97933234 euros
09/04/2021 28,98078743 euros
08/04/2021 28,83835072 euros
07/04/2021 28,72532094 euros
06/04/2021 28,59803036 euros
05/04/2021 28,73165637 euros
04/04/2021 28,34584019 euros
03/04/2021 28,3472595 euros
02/04/2021 28,34867888 euros
01/04/2021 28,3208685 euros
31/03/2021 27,93536683 euros
30/03/2021 27,77952241 euros
29/03/2021 27,80534328 euros
28/03/2021 27,70148312 euros
27/03/2021 27,70288108 euros
26/03/2021 27,7042793 euros
25/03/2021 27,34098354 euros
24/03/2021 27,3298749 euros
23/03/2021 27,58799767 euros
22/03/2021 27,54442068 euros
21/03/2021 27,31325801 euros