Fondos liquidativos

Fondo: CAIXABANK GARANTIZADO CRECIENTE 2024, FI

Fecha

Valor liquidativo

18/12/2021 125,10640022 euros
17/12/2021 125,10036075 euros
16/12/2021 124,9561933 euros
15/12/2021 125,09151252 euros
14/12/2021 125,1537415 euros
13/12/2021 125,2653467 euros
12/12/2021 125,15915893 euros
11/12/2021 125,15315706 euros
10/12/2021 125,14715362 euros
09/12/2021 124,99575048 euros
08/12/2021 124,85273991 euros
07/12/2021 125,11237808 euros
06/12/2021 125,21079379 euros
05/12/2021 125,05168763 euros
04/12/2021 125,04570746 euros
03/12/2021 125,0397254 euros
02/12/2021 125,00917257 euros
01/12/2021 124,88330879 euros
30/11/2021 125,12496819 euros
29/11/2021 125,1523937 euros
28/11/2021 125,22307019 euros
27/11/2021 125,21711159 euros
26/11/2021 125,21115284 euros
25/11/2021 124,98861877 euros
24/11/2021 125,02317473 euros
23/11/2021 125,06711253 euros
22/11/2021 125,31441363 euros
21/11/2021 125,45196759 euros
20/11/2021 125,44602978 euros
19/11/2021 125,44008997 euros
18/11/2021 125,3013433 euros
17/11/2021 125,20025694 euros
16/11/2021 125,21036881 euros
15/11/2021 125,17900288 euros
14/11/2021 125,21123262 euros
13/11/2021 125,20530572 euros
12/11/2021 125,19937863 euros
11/11/2021 125,17409841 euros
10/11/2021 125,34801622 euros
09/11/2021 125,52535522 euros
08/11/2021 125,45984073 euros
07/11/2021 125,45340463 euros
06/11/2021 125,44751972 euros
05/11/2021 125,44163472 euros
04/11/2021 125,3002408 euros
03/11/2021 124,97119334 euros
02/11/2021 124,94862588 euros
01/11/2021 124,36741238 euros
31/10/2021 124,3614056 euros
30/10/2021 124,35535648 euros