Fondos liquidativos

Fondo: CAIXABANK GARANTIZADO CRECIENTE 2024, FI

Fecha

Valor liquidativo

13/07/2023 118,16544965 euros
12/07/2023 118,05126143 euros
11/07/2023 117,8949698 euros
10/07/2023 117,95512758 euros
09/07/2023 117,97781158 euros
08/07/2023 117,97111762 euros
07/07/2023 117,96442356 euros
06/07/2023 117,85346003 euros
05/07/2023 117,98691313 euros
04/07/2023 117,87594613 euros
03/07/2023 117,84109638 euros
02/07/2023 117,90695432 euros
01/07/2023 117,90026075 euros
30/06/2023 117,89356704 euros
29/06/2023 117,91674736 euros
28/06/2023 118,08329372 euros
27/06/2023 117,99774368 euros
26/06/2023 118,09015052 euros
25/06/2023 118,02319438 euros
24/06/2023 118,01657924 euros
23/06/2023 118,00996377 euros
22/06/2023 117,91116298 euros
21/06/2023 118,01421797 euros
20/06/2023 118,02642076 euros
19/06/2023 117,98543273 euros
18/06/2023 118,07865488 euros
17/06/2023 118,07204742 euros
16/06/2023 118,06543925 euros
15/06/2023 118,03278572 euros
14/06/2023 118,18815507 euros
13/06/2023 118,28749523 euros
12/06/2023 118,34547998 euros
11/06/2023 118,30070873 euros
10/06/2023 118,29409737 euros
09/06/2023 118,28748456 euros
08/06/2023 118,20929138 euros
07/06/2023 118,14829361 euros
06/06/2023 118,25471937 euros
05/06/2023 118,22804912 euros
04/06/2023 118,3663782 euros
03/06/2023 118,35983296 euros
02/06/2023 118,35328619 euros
01/06/2023 118,34024529 euros
31/05/2023 118,31825443 euros
30/05/2023 118,1791441 euros
29/05/2023 118,07000654 euros
28/05/2023 117,96286291 euros
27/05/2023 117,95635225 euros
26/05/2023 117,94984112 euros
25/05/2023 117,97109147 euros