
Fondo: CAIXABANK FONDOS GLOBAL SELECCION, FI
Fecha |
Valor liquidativo |
---|---|
15/02/2023 | 10,69014821 euros |
14/02/2023 | 10,69106227 euros |
13/02/2023 | 10,6965676 euros |
12/02/2023 | 10,70086418 euros |
11/02/2023 | 10,70074861 euros |
10/02/2023 | 10,70063278 euros |
09/02/2023 | 10,70706536 euros |
08/02/2023 | 10,7064294 euros |
07/02/2023 | 10,71251976 euros |
06/02/2023 | 10,71768015 euros |
05/02/2023 | 10,72629237 euros |
04/02/2023 | 10,72619339 euros |
03/02/2023 | 10,72609192 euros |
02/02/2023 | 10,72947894 euros |
01/02/2023 | 10,70617059 euros |
31/01/2023 | 10,70490099 euros |
30/01/2023 | 10,70302582 euros |
29/01/2023 | 10,71099244 euros |
28/01/2023 | 10,71098586 euros |
27/01/2023 | 10,7109791 euros |
26/01/2023 | 10,7109715 euros |
25/01/2023 | 10,71012027 euros |
24/01/2023 | 10,70591855 euros |
23/01/2023 | 10,7017144 euros |
22/01/2023 | 10,70299708 euros |
21/01/2023 | 10,70303078 euros |
20/01/2023 | 10,70306457 euros |
19/01/2023 | 10,70979019 euros |
18/01/2023 | 10,71396497 euros |
17/01/2023 | 10,70137536 euros |
16/01/2023 | 10,68911325 euros |
15/01/2023 | 10,68730817 euros |
14/01/2023 | 10,68733683 euros |
13/01/2023 | 10,68736511 euros |
12/01/2023 | 10,6790503 euros |
11/01/2023 | 10,665344 euros |
10/01/2023 | 10,65379507 euros |
09/01/2023 | 10,65597193 euros |
08/01/2023 | 10,65114877 euros |
07/01/2023 | 10,65117267 euros |
06/01/2023 | 10,65119602 euros |
05/01/2023 | 10,64192134 euros |
04/01/2023 | 10,64461799 euros |
03/01/2023 | 10,63619349 euros |
02/01/2023 | 10,63288488 euros |
01/01/2023 | 10,63497984 euros |
31/12/2022 | 10,63503306 euros |
30/12/2022 | 10,63507929 euros |
29/12/2022 | 10,63870617 euros |
28/12/2022 | 10,63605558 euros |