Fondos liquidativos

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

Fecha

Valor liquidativo

12/09/2024 2,2563
11/09/2024 2,2533
10/09/2024 2,2491
09/09/2024 2,254
08/09/2024 2,2527
07/09/2024 2,2527
06/09/2024 2,2527
05/09/2024 2,2535
04/09/2024 2,2528
03/09/2024 2,243
02/09/2024 2,2434
01/09/2024 2,2405
31/08/2024 2,2405
30/08/2024 2,2405
29/08/2024 2,24
28/08/2024 2,2331
27/08/2024 2,2245
26/08/2024 2,2341
25/08/2024 2,2341
24/08/2024 2,2341
23/08/2024 2,2341
22/08/2024 2,2267
21/08/2024 2,2292
20/08/2024 2,2308
19/08/2024 2,2306
18/08/2024 2,2202
17/08/2024 2,2202
16/08/2024 2,2202
15/08/2024 2,2219
14/08/2024 2,2206
13/08/2024 2,2214
12/08/2024 2,2157
11/08/2024 2,2065
10/08/2024 2,2065
09/08/2024 2,2065
08/08/2024 2,207
07/08/2024 2,1994
06/08/2024 2,1866
05/08/2024 2,1992
04/08/2024 2,1992
03/08/2024 2,1992
02/08/2024 2,1992
01/08/2024 2,2122
31/07/2024 2,2155
30/07/2024 2,221
29/07/2024 2,2199
28/07/2024 2,2179
27/07/2024 2,2179
26/07/2024 2,2179
25/07/2024 2,2132