Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION ASIA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

28/01/2022 13,33079427 euros
27/01/2022 13,42699456 euros
26/01/2022 13,54152366 euros
25/01/2022 13,43976612 euros
24/01/2022 13,525687 euros
23/01/2022 13,71412059 euros
22/01/2022 13,71496991 euros
21/01/2022 13,71581903 euros
20/01/2022 13,886667 euros
19/01/2022 13,68067936 euros
18/01/2022 13,70718061 euros
17/01/2022 13,73276339 euros
16/01/2022 13,7292683 euros
15/01/2022 13,73011805 euros
14/01/2022 13,73096789 euros
13/01/2022 13,75291895 euros
12/01/2022 13,80470872 euros
11/01/2022 13,68133194 euros
10/01/2022 13,63661112 euros
09/01/2022 13,54815395 euros
08/01/2022 13,54899155 euros
07/01/2022 13,54982922 euros
06/01/2022 13,51658843 euros
05/01/2022 13,56772508 euros
04/01/2022 13,72311246 euros
03/01/2022 13,66734164 euros
02/01/2022 13,55695036 euros
01/01/2022 13,55779005 euros
31/12/2021 13,55862981 euros
30/12/2021 13,52616735 euros
29/12/2021 13,45751552 euros
28/12/2021 13,57354573 euros
27/12/2021 13,51414535 euros
26/12/2021 13,49206438 euros
25/12/2021 13,49289847 euros
24/12/2021 13,4937326 euros
23/12/2021 13,4832707 euros
22/12/2021 13,39635659 euros
21/12/2021 13,3678183 euros
20/12/2021 13,2282774 euros
19/12/2021 13,52251199 euros
18/12/2021 13,52334976 euros
17/12/2021 13,52418775 euros
16/12/2021 13,56118958 euros
15/12/2021 13,55034392 euros
14/12/2021 13,67065217 euros
13/12/2021 13,73813812 euros
12/12/2021 13,78113079 euros
11/12/2021 13,78198244 euros
10/12/2021 13,78283393 euros