Fondos liquidativos

Fondo: US ADVANTAGE "I" ACC

Fecha

Valor liquidativo

27/08/2022 108,01
26/08/2022 108,01
25/08/2022 107,19
24/08/2022 104,38
23/08/2022 104,43
22/08/2022 104,48
21/08/2022 107,68
20/08/2022 107,68
19/08/2022 107,68
18/08/2022 111,39
17/08/2022 114,85
16/08/2022 114,73
15/08/2022 116,3
14/08/2022 116,3
13/08/2022 116,3
12/08/2022 116,3
11/08/2022 119,94
10/08/2022 115,44
09/08/2022 110,98
08/08/2022 116,52
07/08/2022 110,65
06/08/2022 110,65
05/08/2022 110,65
04/08/2022 108,74
03/08/2022 106,52
02/08/2022 102,84
01/08/2022 98,85
31/07/2022 97,92
30/07/2022 97,92
29/07/2022 97,92
28/07/2022 94,49
27/07/2022 93,76
26/07/2022 91,9
25/07/2022 96,61
24/07/2022 100,71
23/07/2022 100,71
22/07/2022 100,71
21/07/2022 100,87
20/07/2022 97,08
19/07/2022 92,94
18/07/2022 95,18
17/07/2022 89,75
16/07/2022 89,75
15/07/2022 89,75
14/07/2022 88,24
13/07/2022 89,95
12/07/2022 91,44
11/07/2022 92,39
10/07/2022 94,41
09/07/2022 94,41