Fondo: CAIXABANK RENDIMIENTO GARANTIZADO 2023 IV, FI
Fecha |
Valor liquidativo |
---|---|
22/04/2022 | 109,4640957 euros |
21/04/2022 | 109,67346504 euros |
20/04/2022 | 109,79391977 euros |
19/04/2022 | 109,74245293 euros |
18/04/2022 | 109,70325781 euros |
17/04/2022 | 109,69699192 euros |
16/04/2022 | 109,69072596 euros |
15/04/2022 | 109,6844599 euros |
14/04/2022 | 109,67819373 euros |
13/04/2022 | 109,71754721 euros |
12/04/2022 | 109,68559886 euros |
11/04/2022 | 109,63974886 euros |
10/04/2022 | 109,65427798 euros |
09/04/2022 | 109,64802168 euros |
08/04/2022 | 109,64176528 euros |
07/04/2022 | 109,59174566 euros |
06/04/2022 | 109,70460235 euros |
05/04/2022 | 109,80525351 euros |
04/04/2022 | 109,90417981 euros |
03/04/2022 | 109,8873597 euros |
02/04/2022 | 109,88111166 euros |
01/04/2022 | 109,87486319 euros |
31/03/2022 | 109,8739275 euros |
30/03/2022 | 109,85264279 euros |
29/03/2022 | 109,92715375 euros |
28/03/2022 | 110,10863142 euros |
27/03/2022 | 110,19952378 euros |
26/03/2022 | 110,19319184 euros |
25/03/2022 | 110,1868598 euros |
24/03/2022 | 110,13723941 euros |
23/03/2022 | 110,15736251 euros |
22/03/2022 | 110,12342653 euros |
21/03/2022 | 110,13425693 euros |
20/03/2022 | 110,13445953 euros |
19/03/2022 | 110,12813021 euros |
18/03/2022 | 110,12180077 euros |
17/03/2022 | 110,11317357 euros |
16/03/2022 | 110,1149542 euros |
15/03/2022 | 110,10870556 euros |
14/03/2022 | 110,03040503 euros |
13/03/2022 | 110,0469444 euros |
12/03/2022 | 110,04055407 euros |
11/03/2022 | 110,03416355 euros |
10/03/2022 | 109,9879204 euros |
09/03/2022 | 110,28641507 euros |
08/03/2022 | 110,27113266 euros |
07/03/2022 | 110,19647975 euros |
06/03/2022 | 110,23270876 euros |
05/03/2022 | 110,22632368 euros |
04/03/2022 | 110,21993847 euros |