
Fondo: CAIXABANK GESTION 30, FI CLASE PLATINUM
Fecha |
Valor liquidativo |
---|---|
29/08/2020 | 9,74767929 euros |
28/08/2020 | 9,74744748 euros |
27/08/2020 | 9,75072492 euros |
26/08/2020 | 9,75219294 euros |
25/08/2020 | 9,74460764 euros |
24/08/2020 | 9,74531098 euros |
23/08/2020 | 9,72978774 euros |
22/08/2020 | 9,72955605 euros |
21/08/2020 | 9,72932453 euros |
20/08/2020 | 9,72498313 euros |
19/08/2020 | 9,73524858 euros |
18/08/2020 | 9,73128814 euros |
17/08/2020 | 9,7326354 euros |
16/08/2020 | 9,72835749 euros |
15/08/2020 | 9,72812677 euros |
14/08/2020 | 9,72789624 euros |
13/08/2020 | 9,73729684 euros |
12/08/2020 | 9,74300915 euros |
11/08/2020 | 9,72893223 euros |
10/08/2020 | 9,72177403 euros |
09/08/2020 | 9,71686678 euros |
08/08/2020 | 9,71663667 euros |
07/08/2020 | 9,7164068 euros |
06/08/2020 | 9,71374881 euros |
05/08/2020 | 9,71190539 euros |
04/08/2020 | 9,70353532 euros |
03/08/2020 | 9,69523993 euros |
02/08/2020 | 9,67532274 euros |
01/08/2020 | 9,67509251 euros |
31/07/2020 | 9,67486637 euros |
30/07/2020 | 9,68179477 euros |
29/07/2020 | 9,70006051 euros |
28/07/2020 | 9,69362504 euros |
27/07/2020 | 9,69777257 euros |
26/07/2020 | 9,69219218 euros |
25/07/2020 | 9,69196168 euros |
24/07/2020 | 9,69173139 euros |
23/07/2020 | 9,71160626 euros |
22/07/2020 | 9,71992413 euros |
21/07/2020 | 9,72341319 euros |
20/07/2020 | 9,7146221 euros |
19/07/2020 | 9,69840091 euros |
18/07/2020 | 9,69816748 euros |
17/07/2020 | 9,69793417 euros |
16/07/2020 | 9,69361615 euros |
15/07/2020 | 9,70162602 euros |
14/07/2020 | 9,67646794 euros |
13/07/2020 | 9,67887283 euros |
12/07/2020 | 9,6759773 euros |
11/07/2020 | 9,67573475 euros |