
Fondo: CAIXABANK DURACIÓN FLEXIBLE 0-2, FI CLASE UNIVERSAL
Fecha |
Valor liquidativo |
---|---|
10/01/2022 | 10,55365846 euros |
09/01/2022 | 10,55307835 euros |
08/01/2022 | 10,55274225 euros |
07/01/2022 | 10,55240615 euros |
06/01/2022 | 10,55239962 euros |
05/01/2022 | 10,55827944 euros |
04/01/2022 | 10,55948292 euros |
03/01/2022 | 10,5580716 euros |
02/01/2022 | 10,55715179 euros |
01/01/2022 | 10,55682163 euros |
31/12/2021 | 10,55647816 euros |
30/12/2021 | 10,5561489 euros |
29/12/2021 | 10,55795232 euros |
28/12/2021 | 10,55509709 euros |
27/12/2021 | 10,55461292 euros |
26/12/2021 | 10,55784037 euros |
25/12/2021 | 10,55750055 euros |
24/12/2021 | 10,5571607 euros |
23/12/2021 | 10,55681164 euros |
22/12/2021 | 10,55983197 euros |
21/12/2021 | 10,56100228 euros |
20/12/2021 | 10,56009369 euros |
19/12/2021 | 10,56144852 euros |
18/12/2021 | 10,56109675 euros |
17/12/2021 | 10,56074487 euros |
16/12/2021 | 10,55606105 euros |
15/12/2021 | 10,55903782 euros |
14/12/2021 | 10,55783605 euros |
13/12/2021 | 10,55966501 euros |
12/12/2021 | 10,55850964 euros |
11/12/2021 | 10,55816666 euros |
10/12/2021 | 10,55782632 euros |
09/12/2021 | 10,55430238 euros |
08/12/2021 | 10,55623643 euros |
07/12/2021 | 10,55792225 euros |
06/12/2021 | 10,55597179 euros |
05/12/2021 | 10,55154452 euros |
04/12/2021 | 10,55119976 euros |
03/12/2021 | 10,55085478 euros |
02/12/2021 | 10,54603094 euros |
01/12/2021 | 10,54581384 euros |
30/11/2021 | 10,54962281 euros |
29/11/2021 | 10,55150539 euros |
28/11/2021 | 10,55013561 euros |
27/11/2021 | 10,54978875 euros |
26/11/2021 | 10,54944177 euros |
25/11/2021 | 10,55980539 euros |
24/11/2021 | 10,5665106 euros |
23/11/2021 | 10,56784239 euros |
22/11/2021 | 10,57296573 euros |