Fondos liquidativos

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

Fecha

Valor liquidativo

24/07/2024 2,2146
23/07/2024 2,2145
22/07/2024 2,2121
21/07/2024 2,2131
20/07/2024 2,2131
19/07/2024 2,2131
18/07/2024 2,2118
17/07/2024 2,2161
16/07/2024 2,2117
15/07/2024 2,2106
14/07/2024 2,2163
13/07/2024 2,2163
12/07/2024 2,2163
11/07/2024 2,2168
10/07/2024 2,2182
09/07/2024 2,2152
08/07/2024 2,2195
07/07/2024 2,2231
06/07/2024 2,2231
05/07/2024 2,2231
04/07/2024 2,2242
03/07/2024 2,2275
02/07/2024 2,2332
01/07/2024 2,2314
30/06/2024 2,2218
29/06/2024 2,2218
28/06/2024 2,2218
27/06/2024 2,2236
26/06/2024 2,2208
25/06/2024 2,2212
24/06/2024 2,2239
23/06/2024 2,2209
22/06/2024 2,2209
21/06/2024 2,2209
20/06/2024 2,2197
19/06/2024 2,2169
18/06/2024 2,2125
17/06/2024 2,2049
16/06/2024 2,2015
15/06/2024 2,2015
14/06/2024 2,2015
13/06/2024 2,2003
12/06/2024 2,2009
11/06/2024 2,1991
10/06/2024 2,2035
09/06/2024 2,2055
08/06/2024 2,2055
07/06/2024 2,2055
06/06/2024 2,2047
05/06/2024 2,2034