Fondos liquidativos

Fondo: CAIXABANK GARANTIZADO EURIBOR II, FI

Fecha

Valor liquidativo

25/03/2022 107,59031512 euros
24/03/2022 107,48430566 euros
23/03/2022 107,55914864 euros
22/03/2022 107,65788175 euros
21/03/2022 107,60858891 euros
20/03/2022 107,58505117 euros
19/03/2022 107,58201934 euros
18/03/2022 107,57898744 euros
17/03/2022 107,55204367 euros
16/03/2022 107,64502645 euros
15/03/2022 107,63474989 euros
14/03/2022 107,51316453 euros
13/03/2022 107,62527935 euros
12/03/2022 107,62224811 euros
11/03/2022 107,61921682 euros
10/03/2022 107,44703822 euros
09/03/2022 107,9071505 euros
08/03/2022 108,05162719 euros
07/03/2022 108,00950058 euros
06/03/2022 108,18043989 euros
05/03/2022 108,1773894 euros
04/03/2022 108,17433886 euros
03/03/2022 107,95015875 euros
02/03/2022 107,82182321 euros
01/03/2022 108,15403254 euros
28/02/2022 107,37102099 euros
27/02/2022 107,32026678 euros
26/02/2022 107,31720272 euros
25/02/2022 107,31413864 euros
24/02/2022 107,33746593 euros
23/02/2022 107,08203406 euros
22/02/2022 107,26436121 euros
21/02/2022 107,13305613 euros
20/02/2022 107,2665702 euros
19/02/2022 107,26350709 euros
18/02/2022 107,26044395 euros
17/02/2022 107,22651956 euros
16/02/2022 107,07456352 euros
15/02/2022 107,02634809 euros
14/02/2022 107,02059517 euros
13/02/2022 106,8825183 euros
12/02/2022 106,87944903 euros
11/02/2022 106,87637975 euros
10/02/2022 107,03649889 euros
09/02/2022 107,02879156 euros
08/02/2022 106,7981081 euros
07/02/2022 106,73528348 euros
06/02/2022 106,9661961 euros
05/02/2022 106,96311668 euros
04/02/2022 106,96003721 euros