Fondos liquidativos

Fondo: CAIXABANK GARANTIZADO EURIBOR II, FI

Fecha

Valor liquidativo

14/05/2022 106,32449186 euros
13/05/2022 106,32146719 euros
12/05/2022 106,57830095 euros
11/05/2022 106,39681679 euros
10/05/2022 106,20680067 euros
09/05/2022 106,04079632 euros
08/05/2022 106,08539442 euros
07/05/2022 106,08236721 euros
06/05/2022 106,07933998 euros
05/05/2022 106,26353817 euros
04/05/2022 106,26517197 euros
03/05/2022 106,63897697 euros
02/05/2022 106,62899961 euros
01/05/2022 106,61308465 euros
30/04/2022 106,61006588 euros
29/04/2022 106,60704709 euros
28/04/2022 106,74585072 euros
27/04/2022 106,86361998 euros
26/04/2022 106,8414267 euros
25/04/2022 106,78090408 euros
24/04/2022 106,65856472 euros
23/04/2022 106,65554972 euros
22/04/2022 106,65253462 euros
21/04/2022 106,74755162 euros
20/04/2022 106,92188936 euros
19/04/2022 106,92912536 euros
18/04/2022 107,03805123 euros
17/04/2022 107,03502225 euros
16/04/2022 107,03199326 euros
15/04/2022 107,02896422 euros
14/04/2022 107,02593511 euros
13/04/2022 107,14777693 euros
12/04/2022 107,08532021 euros
11/04/2022 107,03579331 euros
10/04/2022 107,17576247 euros
09/04/2022 107,17273571 euros
08/04/2022 107,16970889 euros
07/04/2022 107,00748285 euros
06/04/2022 107,01803696 euros
05/04/2022 107,18716557 euros
04/04/2022 107,24681749 euros
03/04/2022 107,24878354 euros
02/04/2022 107,24575004 euros
01/04/2022 107,24271651 euros
31/03/2022 107,34072293 euros
30/03/2022 107,20446621 euros
29/03/2022 107,43615914 euros
28/03/2022 107,54839647 euros
27/03/2022 107,59637094 euros
26/03/2022 107,59334305 euros