Fondos liquidativos

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

Fecha

Valor liquidativo

01/11/2024 2,2943
31/10/2024 2,2867
30/10/2024 2,2847
29/10/2024 2,2796
28/10/2024 2,2882
27/10/2024 2,2882
26/10/2024 2,2882
25/10/2024 2,2882
24/10/2024 2,2861
23/10/2024 2,2856
22/10/2024 2,2805
21/10/2024 2,2763
20/10/2024 2,277
19/10/2024 2,277
18/10/2024 2,277
17/10/2024 2,2786
16/10/2024 2,2862
15/10/2024 2,2784
14/10/2024 2,2713
13/10/2024 2,265
12/10/2024 2,265
11/10/2024 2,265
10/10/2024 2,2623
09/10/2024 2,2527
08/10/2024 2,248
07/10/2024 2,241
06/10/2024 2,2394
05/10/2024 2,2394
04/10/2024 2,2394
03/10/2024 2,2413
02/10/2024 2,2458
01/10/2024 2,2455
30/09/2024 2,2396
29/09/2024 2,2484
28/09/2024 2,2484
27/09/2024 2,2484
26/09/2024 2,2673
25/09/2024 2,2736
24/09/2024 2,278
23/09/2024 2,2848
22/09/2024 2,2788
21/09/2024 2,2788
20/09/2024 2,2788
19/09/2024 2,2774
18/09/2024 2,2685
17/09/2024 2,2673
16/09/2024 2,2622
15/09/2024 2,2591
14/09/2024 2,2591
13/09/2024 2,2591