
Fondo: CAIXABANK GESTION 30, FI CLASE PLATINUM
Fecha |
Valor liquidativo |
---|---|
10/07/2020 | 9,67549225 euros |
09/07/2020 | 9,66198479 euros |
08/07/2020 | 9,6711804 euros |
07/07/2020 | 9,67255585 euros |
06/07/2020 | 9,68381523 euros |
05/07/2020 | 9,65583514 euros |
04/07/2020 | 9,65561283 euros |
03/07/2020 | 9,65539096 euros |
02/07/2020 | 9,65987664 euros |
01/07/2020 | 9,63206347 euros |
30/06/2020 | 9,63112236 euros |
29/06/2020 | 9,61690665 euros |
28/06/2020 | 9,60683527 euros |
27/06/2020 | 9,60661897 euros |
26/06/2020 | 9,60640334 euros |
25/06/2020 | 9,62154474 euros |
24/06/2020 | 9,61472996 euros |
23/06/2020 | 9,656967 euros |
22/06/2020 | 9,64520694 euros |
21/06/2020 | 9,64090969 euros |
20/06/2020 | 9,64069514 euros |
19/06/2020 | 9,64048118 euros |
18/06/2020 | 9,63813663 euros |
17/06/2020 | 9,64783906 euros |
16/06/2020 | 9,64509024 euros |
15/06/2020 | 9,58526831 euros |
14/06/2020 | 9,58357665 euros |
13/06/2020 | 9,58335514 euros |
12/06/2020 | 9,5831341 euros |
11/06/2020 | 9,57422402 euros |
10/06/2020 | 9,65710514 euros |
09/06/2020 | 9,67533634 euros |
08/06/2020 | 9,69685999 euros |
07/06/2020 | 9,68546142 euros |
06/06/2020 | 9,68525011 euros |
05/06/2020 | 9,68503931 euros |
04/06/2020 | 9,63568013 euros |
03/06/2020 | 9,6376618 euros |
02/06/2020 | 9,61392377 euros |
01/06/2020 | 9,59801253 euros |
31/05/2020 | 9,58481913 euros |
30/05/2020 | 9,58464435 euros |
29/05/2020 | 9,58446558 euros |
28/05/2020 | 9,59710593 euros |
27/05/2020 | 9,58829686 euros |
26/05/2020 | 9,57716145 euros |
25/05/2020 | 9,56865291 euros |
24/05/2020 | 9,55734558 euros |
23/05/2020 | 9,55716825 euros |
22/05/2020 | 9,55699149 euros |