
Fondo: CAIXABANK GARANTIZADO EURIBOR II, FI
Fecha |
Valor liquidativo |
---|---|
03/02/2022 | 107,22763091 euros |
02/02/2022 | 107,63646517 euros |
01/02/2022 | 107,75836296 euros |
31/01/2022 | 107,86237875 euros |
30/01/2022 | 107,93441095 euros |
29/01/2022 | 107,93135046 euros |
28/01/2022 | 107,92829 euros |
27/01/2022 | 107,88317412 euros |
26/01/2022 | 107,79716304 euros |
25/01/2022 | 107,88168757 euros |
24/01/2022 | 107,88705848 euros |
23/01/2022 | 107,85553713 euros |
22/01/2022 | 107,85247572 euros |
21/01/2022 | 107,84941413 euros |
20/01/2022 | 107,8124204 euros |
19/01/2022 | 107,74395443 euros |
18/01/2022 | 107,77113238 euros |
17/01/2022 | 107,7813842 euros |
16/01/2022 | 107,83102038 euros |
15/01/2022 | 107,82794277 euros |
14/01/2022 | 107,82486511 euros |
13/01/2022 | 107,8584963 euros |
12/01/2022 | 107,8177233 euros |
11/01/2022 | 107,78547184 euros |
10/01/2022 | 107,858838 euros |
09/01/2022 | 107,7580941 euros |
08/01/2022 | 107,75500144 euros |
07/01/2022 | 107,75190874 euros |
06/01/2022 | 107,80051135 euros |
05/01/2022 | 107,95376239 euros |
04/01/2022 | 107,97054455 euros |
03/01/2022 | 107,9408313 euros |
02/01/2022 | 107,98599686 euros |
01/01/2022 | 107,98290784 euros |
31/12/2021 | 107,97981875 euros |
30/12/2021 | 107,97672374 euros |
29/12/2021 | 108,00784632 euros |
28/12/2021 | 108,07409691 euros |
27/12/2021 | 108,0762337 euros |
26/12/2021 | 108,17826916 euros |
25/12/2021 | 108,175176 euros |
24/12/2021 | 108,17208276 euros |
23/12/2021 | 108,17437653 euros |
22/12/2021 | 108,35064271 euros |
21/12/2021 | 108,4372691 euros |
20/12/2021 | 108,58696832 euros |
19/12/2021 | 108,58831516 euros |
18/12/2021 | 108,58524625 euros |
17/12/2021 | 108,58217732 euros |
16/12/2021 | 108,45577318 euros |