Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION ASIA, FI CLASE PLUS

Fecha

Valor liquidativo

02/07/2022 13,31662301 euros
01/07/2022 13,31718228 euros
30/06/2022 13,34604197 euros
29/06/2022 13,46795679 euros
28/06/2022 13,54051533 euros
27/06/2022 13,4521513 euros
26/06/2022 13,29387429 euros
25/06/2022 13,29444566 euros
24/06/2022 13,29501688 euros
23/06/2022 13,07434929 euros
22/06/2022 13,00733907 euros
21/06/2022 13,30983768 euros
20/06/2022 13,16593679 euros
19/06/2022 13,17386321 euros
18/06/2022 13,17443141 euros
17/06/2022 13,17499963 euros
16/06/2022 13,09781925 euros
15/06/2022 13,37646466 euros
14/06/2022 13,36271764 euros
13/06/2022 13,35642773 euros
12/06/2022 13,64173248 euros
11/06/2022 13,64232014 euros
10/06/2022 13,64290794 euros
09/06/2022 13,69887817 euros
08/06/2022 13,68105109 euros
07/06/2022 13,53268126 euros
06/06/2022 13,57576961 euros
05/06/2022 13,46504471 euros
04/06/2022 13,4656241 euros
03/06/2022 13,46620357 euros
02/06/2022 13,46121823 euros
01/06/2022 13,57912555 euros
31/05/2022 13,55528043 euros
30/05/2022 13,36349864 euros
29/05/2022 13,18822924 euros
28/05/2022 13,18879701 euros
27/05/2022 13,1893651 euros
26/05/2022 12,93105761 euros
25/05/2022 12,9422201 euros
24/05/2022 12,86612789 euros
23/05/2022 13,12947115 euros
22/05/2022 13,28976468 euros
21/05/2022 13,29033594 euros
20/05/2022 13,29090611 euros
19/05/2022 13,01690368 euros
18/05/2022 13,28481457 euros
17/05/2022 13,23876115 euros
16/05/2022 13,062448 euros
15/05/2022 13,07893187 euros
14/05/2022 13,07949755 euros