Fondos liquidativos

Fondo: CAIXABANK GARANTIZADO RENTAS 16, FI

Fecha

Valor liquidativo

07/07/2022 98,60364273 euros
06/07/2022 99,23374671 euros
05/07/2022 98,99475297 euros
04/07/2022 98,54868486 euros
03/07/2022 99,06176222 euros
02/07/2022 99,05825018 euros
01/07/2022 99,05473813 euros
30/06/2022 98,18004977 euros
29/06/2022 97,77185632 euros
28/06/2022 97,16616587 euros
27/06/2022 97,2966046 euros
26/06/2022 97,61926842 euros
25/06/2022 97,61570827 euros
24/06/2022 97,61214808 euros
23/06/2022 97,79039552 euros
22/06/2022 97,07822327 euros
21/06/2022 96,49985264 euros
20/06/2022 96,53203797 euros
19/06/2022 96,64343722 euros
18/06/2022 96,63987482 euros
17/06/2022 96,63631217 euros
16/06/2022 95,94799612 euros
15/06/2022 96,04502157 euros
14/06/2022 94,6219294 euros
13/06/2022 94,81189096 euros
12/06/2022 96,02393774 euros
11/06/2022 96,02037238 euros
10/06/2022 96,016807 euros
09/06/2022 96,78582899 euros
08/06/2022 97,660008 euros
07/06/2022 97,85863143 euros
06/06/2022 97,51659977 euros
05/06/2022 97,6200661 euros
04/06/2022 97,61651713 euros
03/06/2022 97,61296801 euros
02/06/2022 97,97141684 euros
01/06/2022 98,39047598 euros
31/05/2022 98,5541057 euros
30/05/2022 99,02950656 euros
29/05/2022 99,35360346 euros
28/05/2022 99,35005024 euros
27/05/2022 99,34649659 euros
26/05/2022 99,33965952 euros
25/05/2022 99,17238073 euros
24/05/2022 98,9642542 euros
23/05/2022 98,79788859 euros
22/05/2022 98,92041862 euros
21/05/2022 98,91688087 euros
20/05/2022 98,91334206 euros
19/05/2022 99,12235746 euros