Fondos liquidativos

Fondo: CAIXABANK MIXTO RENTA FIJA 15, FI CLASE ESTANDAR

Fecha

Valor liquidativo

31/08/2023 11,28416874 euros
30/08/2023 11,27290255 euros
29/08/2023 11,28016597 euros
28/08/2023 11,24916098 euros
27/08/2023 11,22247288 euros
26/08/2023 11,22223998 euros
25/08/2023 11,22200786 euros
24/08/2023 11,23107803 euros
23/08/2023 11,2526985 euros
22/08/2023 11,21714693 euros
21/08/2023 11,18999894 euros
20/08/2023 11,19769625 euros
19/08/2023 11,1974696 euros
18/08/2023 11,1972428 euros
17/08/2023 11,190638 euros
16/08/2023 11,22982258 euros
15/08/2023 11,23378457 euros
14/08/2023 11,26094745 euros
13/08/2023 11,25960451 euros
12/08/2023 11,25937667 euros
11/08/2023 11,25914859 euros
10/08/2023 11,311536 euros
09/08/2023 11,27357714 euros
08/08/2023 11,26229368 euros
07/08/2023 11,28004388 euros
06/08/2023 11,27250812 euros
05/08/2023 11,27228437 euros
04/08/2023 11,27206124 euros
03/08/2023 11,25987575 euros
02/08/2023 11,2907854 euros
01/08/2023 11,32709588 euros
31/07/2023 11,38502491 euros
30/07/2023 11,3766585 euros
29/07/2023 11,37644517 euros
28/07/2023 11,37623201 euros
27/07/2023 11,35548466 euros
26/07/2023 11,28315924 euros
25/07/2023 11,32788964 euros
24/07/2023 11,32918009 euros
23/07/2023 11,32216027 euros
22/07/2023 11,32194446 euros
21/07/2023 11,32172926 euros
20/07/2023 11,3027042 euros
19/07/2023 11,3143576 euros
18/07/2023 11,33203914 euros
17/07/2023 11,29906581 euros
16/07/2023 11,32750838 euros
15/07/2023 11,32728971 euros
14/07/2023 11,32707099 euros
13/07/2023 11,32602197 euros