Fondos liquidativos

Fondo: JAMS JUPITER GL EQ ABS R "I" (USD) A

Fecha

Valor liquidativo

14/06/2023 1,9835
13/06/2023 1,9836
12/06/2023 1,9834
11/06/2023 1,9829
10/06/2023 1,9829
09/06/2023 1,9829
08/06/2023 1,9775
07/06/2023 1,9748
06/06/2023 1,9735
05/06/2023 1,9653
04/06/2023 1,9653
03/06/2023 1,9653
02/06/2023 1,9653
01/06/2023 1,9692
31/05/2023 1,9663
30/05/2023 1,9713
29/05/2023 1,9675
28/05/2023 1,9675
27/05/2023 1,9675
26/05/2023 1,9675
25/05/2023 1,9729
24/05/2023 1,9659
23/05/2023 1,9647
22/05/2023 1,9704
21/05/2023 1,9706
20/05/2023 1,9706
19/05/2023 1,9706
18/05/2023 1,9704
17/05/2023 1,9651
16/05/2023 1,9622
15/05/2023 1,9628
14/05/2023 1,961
13/05/2023 1,961
12/05/2023 1,961
11/05/2023 1,9635
10/05/2023 1,9645
09/05/2023 1,9572
08/05/2023 1,9495
07/05/2023 1,9495
06/05/2023 1,9495
05/05/2023 1,9495
04/05/2023 1,953
03/05/2023 1,9503
02/05/2023 1,9559
01/05/2023 1,9512
30/04/2023 1,9512
29/04/2023 1,9512
28/04/2023 1,9512
27/04/2023 1,9496
26/04/2023 1,9449