Fondos liquidativos

Fondo: CAIXABANK RENDIMIENTO GARANTIZADO 2023 IV, FI

Fecha

Valor liquidativo

13/03/2022 110,0469444 euros
12/03/2022 110,04055407 euros
11/03/2022 110,03416355 euros
10/03/2022 109,9879204 euros
09/03/2022 110,28641507 euros
08/03/2022 110,27113266 euros
07/03/2022 110,19647975 euros
06/03/2022 110,23270876 euros
05/03/2022 110,22632368 euros
04/03/2022 110,21993847 euros
03/03/2022 110,28555754 euros
02/03/2022 110,44992315 euros
01/03/2022 110,36357391 euros
28/02/2022 110,14353325 euros
27/02/2022 110,2299884 euros
26/02/2022 110,22354093 euros
25/02/2022 110,21709337 euros
24/02/2022 110,21901427 euros
23/02/2022 110,2731496 euros
22/02/2022 110,37721204 euros
21/02/2022 110,39459332 euros
20/02/2022 110,47709291 euros
19/02/2022 110,47065092 euros
18/02/2022 110,46420886 euros
17/02/2022 110,45675586 euros
16/02/2022 110,40919964 euros
15/02/2022 110,30420812 euros
14/02/2022 110,23393976 euros
13/02/2022 110,25076261 euros
12/02/2022 110,24435155 euros
11/02/2022 110,23794039 euros
10/02/2022 110,24905803 euros
09/02/2022 110,34090406 euros
08/02/2022 110,15483201 euros
07/02/2022 110,12738043 euros
06/02/2022 110,17885533 euros
05/02/2022 110,17244461 euros
04/02/2022 110,16603382 euros
03/02/2022 110,32035903 euros
02/02/2022 110,67190476 euros
01/02/2022 110,74938005 euros
31/01/2022 110,73743977 euros
30/01/2022 110,79573991 euros
29/01/2022 110,78955416 euros
28/01/2022 110,7833683 euros
27/01/2022 110,87526597 euros
26/01/2022 110,88357312 euros
25/01/2022 110,81152005 euros
24/01/2022 110,74820074 euros
23/01/2022 110,8646601 euros