
Fondo: CAIXABANK GARANTIZADO EURIBOR, FI
Fecha |
Valor liquidativo |
---|---|
12/01/2022 | 107,23918273 euros |
11/01/2022 | 107,1445132 euros |
10/01/2022 | 107,21515222 euros |
09/01/2022 | 107,08289134 euros |
08/01/2022 | 107,07928562 euros |
07/01/2022 | 107,07567958 euros |
06/01/2022 | 107,10180075 euros |
05/01/2022 | 107,24478695 euros |
04/01/2022 | 107,26841044 euros |
03/01/2022 | 107,27796884 euros |
02/01/2022 | 107,27122339 euros |
01/01/2022 | 107,26763647 euros |
31/12/2021 | 107,26404949 euros |
30/12/2021 | 107,26802457 euros |
29/12/2021 | 107,26154269 euros |
28/12/2021 | 107,36296281 euros |
27/12/2021 | 107,29884735 euros |
26/12/2021 | 107,45783267 euros |
25/12/2021 | 107,45423814 euros |
24/12/2021 | 107,45064365 euros |
23/12/2021 | 107,4549506 euros |
22/12/2021 | 107,67791134 euros |
21/12/2021 | 107,79684104 euros |
20/12/2021 | 107,94245987 euros |
19/12/2021 | 107,94973658 euros |
18/12/2021 | 107,94616813 euros |
17/12/2021 | 107,94259957 euros |
16/12/2021 | 107,7928718 euros |
15/12/2021 | 107,95183094 euros |
14/12/2021 | 107,98053837 euros |
13/12/2021 | 108,07559592 euros |
12/12/2021 | 107,9620143 euros |
11/12/2021 | 107,95844202 euros |
10/12/2021 | 107,95486961 euros |
09/12/2021 | 107,78402556 euros |
08/12/2021 | 107,6634864 euros |
07/12/2021 | 107,95951741 euros |
06/12/2021 | 108,05812554 euros |
05/12/2021 | 107,88036812 euros |
04/12/2021 | 107,87679477 euros |
03/12/2021 | 107,87322104 euros |
02/12/2021 | 107,81328872 euros |
01/12/2021 | 107,64375966 euros |
30/11/2021 | 107,92249322 euros |
29/11/2021 | 107,89332169 euros |
28/11/2021 | 107,98319671 euros |
27/11/2021 | 107,97965402 euros |
26/11/2021 | 107,97611127 euros |
25/11/2021 | 107,71667306 euros |
24/11/2021 | 107,74558259 euros |