Fondo: CAIXABANK GESTION 60, FI CLASE ESTANDAR
Fecha |
Valor liquidativo |
---|---|
10/10/2022 | 9,55825675 euros |
09/10/2022 | 9,58068271 euros |
08/10/2022 | 9,58088723 euros |
07/10/2022 | 9,58109322 euros |
06/10/2022 | 9,64178695 euros |
05/10/2022 | 9,65150007 euros |
04/10/2022 | 9,66284386 euros |
03/10/2022 | 9,59104873 euros |
02/10/2022 | 9,51906813 euros |
01/10/2022 | 9,5192793 euros |
30/09/2022 | 9,51948061 euros |
29/09/2022 | 9,53347831 euros |
28/09/2022 | 9,60493105 euros |
27/09/2022 | 9,59806396 euros |
26/09/2022 | 9,61975518 euros |
25/09/2022 | 9,64304404 euros |
24/09/2022 | 9,64325158 euros |
23/09/2022 | 9,64345335 euros |
22/09/2022 | 9,67071617 euros |
21/09/2022 | 9,71874316 euros |
20/09/2022 | 9,71734028 euros |
19/09/2022 | 9,75386578 euros |
18/09/2022 | 9,7459083 euros |
17/09/2022 | 9,74614801 euros |
16/09/2022 | 9,74638782 euros |
15/09/2022 | 9,79698907 euros |
14/09/2022 | 9,83485119 euros |
13/09/2022 | 9,84800852 euros |
12/09/2022 | 9,92035741 euros |
11/09/2022 | 9,88704795 euros |
10/09/2022 | 9,8873071 euros |
09/09/2022 | 9,88756777 euros |
08/09/2022 | 9,84850391 euros |
07/09/2022 | 9,83753918 euros |
06/09/2022 | 9,83837567 euros |
05/09/2022 | 9,84617066 euros |
04/09/2022 | 9,85770074 euros |
03/09/2022 | 9,8579903 euros |
02/09/2022 | 9,85827832 euros |
01/09/2022 | 9,84939865 euros |
31/08/2022 | 9,85476383 euros |
30/08/2022 | 9,89227109 euros |
29/08/2022 | 9,94005157 euros |
28/08/2022 | 9,98713113 euros |
27/08/2022 | 9,98701406 euros |
26/08/2022 | 9,98689542 euros |
25/08/2022 | 10,06564547 euros |
24/08/2022 | 10,02661622 euros |
23/08/2022 | 10,02445455 euros |
22/08/2022 | 10,04172643 euros |