Fondos liquidativos

Fondo: CAIXABANK GARANTIZADO EURIBOR, FI

Fecha

Valor liquidativo

08/06/2022 105,57843377 euros
07/06/2022 105,60997077 euros
06/06/2022 105,14928912 euros
05/06/2022 105,33252707 euros
04/06/2022 105,32876417 euros
03/06/2022 105,32500121 euros
02/06/2022 105,44806443 euros
01/06/2022 105,62416439 euros
31/05/2022 105,67026447 euros
30/05/2022 105,8861372 euros
29/05/2022 105,98324172 euros
28/05/2022 105,97949595 euros
27/05/2022 105,9757485 euros
26/05/2022 105,89499048 euros
25/05/2022 105,62860465 euros
24/05/2022 105,52770563 euros
23/05/2022 105,47262053 euros
22/05/2022 105,54880145 euros
21/05/2022 105,54505673 euros
20/05/2022 105,54131194 euros
19/05/2022 105,75707928 euros
18/05/2022 105,78905698 euros
17/05/2022 105,84244489 euros
16/05/2022 105,96244212 euros
15/05/2022 105,91572259 euros
14/05/2022 105,91198564 euros
13/05/2022 105,9082481 euros
12/05/2022 106,21301723 euros
11/05/2022 105,96337847 euros
10/05/2022 105,6574875 euros
09/05/2022 105,4787935 euros
08/05/2022 105,52256651 euros
07/05/2022 105,51882713 euros
06/05/2022 105,51508766 euros
05/05/2022 105,71749029 euros
04/05/2022 105,83587101 euros
03/05/2022 106,24163758 euros
02/05/2022 106,35932032 euros
01/05/2022 106,35435993 euros
30/04/2022 106,35063322 euros
29/04/2022 106,34690647 euros
28/04/2022 106,47015531 euros
27/04/2022 106,64584953 euros
26/04/2022 106,69240605 euros
25/04/2022 106,65191438 euros
24/04/2022 106,58222678 euros
23/04/2022 106,5785038 euros
22/04/2022 106,57478079 euros
21/04/2022 106,65902225 euros
20/04/2022 106,88377515 euros