
Fondo: CAIXABANK GESTION 30, FI CLASE PLATINUM
Fecha |
Valor liquidativo |
---|---|
11/07/2021 | 10,0415344 euros |
10/07/2021 | 10,04160133 euros |
09/07/2021 | 10,04167104 euros |
08/07/2021 | 10,01603906 euros |
07/07/2021 | 10,05504007 euros |
06/07/2021 | 10,04570012 euros |
05/07/2021 | 10,04949455 euros |
04/07/2021 | 10,04829975 euros |
03/07/2021 | 10,04838065 euros |
02/07/2021 | 10,04846032 euros |
01/07/2021 | 10,03963099 euros |
30/06/2021 | 10,03150386 euros |
29/06/2021 | 10,03718238 euros |
28/06/2021 | 10,02883249 euros |
27/06/2021 | 10,03049013 euros |
26/06/2021 | 10,03056375 euros |
25/06/2021 | 10,03063797 euros |
24/06/2021 | 10,02478301 euros |
23/06/2021 | 10,01519054 euros |
22/06/2021 | 10,01506095 euros |
21/06/2021 | 10,00772835 euros |
20/06/2021 | 10,00525808 euros |
19/06/2021 | 10,00532905 euros |
18/06/2021 | 10,00540103 euros |
17/06/2021 | 10,02612834 euros |
16/06/2021 | 10,02923477 euros |
15/06/2021 | 10,0311713 euros |
14/06/2021 | 10,03076894 euros |
13/06/2021 | 10,03006485 euros |
12/06/2021 | 10,03015165 euros |
11/06/2021 | 10,03023978 euros |
10/06/2021 | 10,01334951 euros |
09/06/2021 | 10,01173011 euros |
08/06/2021 | 10,01078032 euros |
07/06/2021 | 10,00802823 euros |
06/06/2021 | 10,00473196 euros |
05/06/2021 | 10,0048162 euros |
04/06/2021 | 10,00489951 euros |
03/06/2021 | 9,99400242 euros |
02/06/2021 | 9,99770172 euros |
01/06/2021 | 9,99197596 euros |
31/05/2021 | 9,98705049 euros |
30/05/2021 | 9,98863256 euros |
29/05/2021 | 9,98871796 euros |
28/05/2021 | 9,98880358 euros |
27/05/2021 | 9,97764028 euros |
26/05/2021 | 9,96951761 euros |
25/05/2021 | 9,96373572 euros |
24/05/2021 | 9,95713722 euros |
23/05/2021 | 9,95438777 euros |