Fondos liquidativos

Fondo: CAIXABANK GARANTIZADO EURIBOR, FI

Fecha

Valor liquidativo

10/12/2023 109,60793071 euros
09/12/2023 109,60387502 euros
08/12/2023 109,59981932 euros
07/12/2023 109,53931966 euros
06/12/2023 109,49563058 euros
05/12/2023 109,52233845 euros
04/12/2023 109,46919287 euros
03/12/2023 109,5669911 euros
02/12/2023 109,5629475 euros
01/12/2023 109,5589039 euros
30/11/2023 109,33258575 euros
29/11/2023 109,37439057 euros
28/11/2023 109,24957174 euros
27/11/2023 109,18199353 euros
26/11/2023 109,01087283 euros
25/11/2023 109,0068249 euros
24/11/2023 109,00277673 euros
23/11/2023 109,02823446 euros
22/11/2023 109,08907764 euros
21/11/2023 109,10794554 euros
20/11/2023 109,04300327 euros
19/11/2023 109,02246075 euros
18/11/2023 109,01840633 euros
17/11/2023 109,01435183 euros
16/11/2023 109,05224567 euros
15/11/2023 108,87435378 euros
14/11/2023 108,85957015 euros
13/11/2023 108,70748964 euros
12/11/2023 108,67471711 euros
11/11/2023 108,67063972 euros
10/11/2023 108,66656226 euros
09/11/2023 108,71452107 euros
08/11/2023 108,6802832 euros
07/11/2023 108,66633103 euros
06/11/2023 108,58959668 euros
05/11/2023 108,7209989 euros
04/11/2023 108,71691675 euros
03/11/2023 108,71283453 euros
02/11/2023 108,57656301 euros
01/11/2023 108,45621959 euros
31/10/2023 108,4521337 euros
30/10/2023 108,45664682 euros
29/10/2023 108,29301055 euros
28/10/2023 108,28892646 euros
27/10/2023 108,28484231 euros
26/10/2023 108,21414449 euros
25/10/2023 108,06815863 euros
24/10/2023 108,17428559 euros
23/10/2023 108,18414118 euros
22/10/2023 108,12077105 euros