Fondos liquidativos

Fondo: JPM US SHORT DURATION BD "C" (USD)

Fecha

Valor liquidativo

31/08/2019 110,31
30/08/2019 110,31
29/08/2019 110,355
28/08/2019 110,375
27/08/2019 110,31
26/08/2019 110,338
25/08/2019 110,162
24/08/2019 110,162
23/08/2019 110,162
22/08/2019 110,208
21/08/2019 110,257
20/08/2019 110,263
19/08/2019 110,264
18/08/2019 110,259
17/08/2019 110,259
16/08/2019 110,259
15/08/2019 110,134
14/08/2019 110,031
13/08/2019 110,019
12/08/2019 110,06
11/08/2019 110,037
10/08/2019 110,037
09/08/2019 110,037
08/08/2019 110,044
07/08/2019 110,154
06/08/2019 110,057
05/08/2019 110,076
04/08/2019 109,813
03/08/2019 109,813
02/08/2019 109,813
01/08/2019 109,526
31/07/2019 109,562
30/07/2019 109,532
29/07/2019 109,526
28/07/2019 109,465
27/07/2019 109,465
26/07/2019 109,465
25/07/2019 109,493
24/07/2019 109,558
23/07/2019 109,536
22/07/2019 109,557
21/07/2019 109,557
20/07/2019 109,557
19/07/2019 109,557
18/07/2019 109,466
17/07/2019 109,409
16/07/2019 109,396
15/07/2019 109,425
14/07/2019 109,367
13/07/2019 109,367