
Fondo: CAIXABANK FONDOS GLOBAL SELECCION, FI
Fecha |
Valor liquidativo |
---|---|
06/04/2023 | 10,72520492 euros |
05/04/2023 | 10,72704552 euros |
04/04/2023 | 10,71237861 euros |
03/04/2023 | 10,7090935 euros |
02/04/2023 | 10,69797244 euros |
01/04/2023 | 10,697706 euros |
31/03/2023 | 10,69744017 euros |
30/03/2023 | 10,68954953 euros |
29/03/2023 | 10,69335594 euros |
28/03/2023 | 10,69357858 euros |
27/03/2023 | 10,70206235 euros |
26/03/2023 | 10,71665586 euros |
25/03/2023 | 10,7163789 euros |
24/03/2023 | 10,71610185 euros |
23/03/2023 | 10,71046824 euros |
22/03/2023 | 10,68873259 euros |
21/03/2023 | 10,69538319 euros |
20/03/2023 | 10,70253581 euros |
19/03/2023 | 10,70217517 euros |
18/03/2023 | 10,7018807 euros |
17/03/2023 | 10,70158178 euros |
16/03/2023 | 10,69340823 euros |
15/03/2023 | 10,71277549 euros |
14/03/2023 | 10,6694871 euros |
13/03/2023 | 10,68929977 euros |
12/03/2023 | 10,66975152 euros |
11/03/2023 | 10,66937925 euros |
10/03/2023 | 10,66900683 euros |
09/03/2023 | 10,6550503 euros |
08/03/2023 | 10,65307657 euros |
07/03/2023 | 10,65265211 euros |
06/03/2023 | 10,65449677 euros |
05/03/2023 | 10,65906215 euros |
04/03/2023 | 10,65870318 euros |
03/03/2023 | 10,65834387 euros |
02/03/2023 | 10,661218 euros |
01/03/2023 | 10,66190503 euros |
28/02/2023 | 10,66900449 euros |
27/02/2023 | 10,67486418 euros |
26/02/2023 | 10,6785217 euros |
25/02/2023 | 10,67820478 euros |
24/02/2023 | 10,67788772 euros |
23/02/2023 | 10,68848042 euros |
22/02/2023 | 10,68582956 euros |
21/02/2023 | 10,68318028 euros |
20/02/2023 | 10,68977929 euros |
19/02/2023 | 10,69165269 euros |
18/02/2023 | 10,69138736 euros |
17/02/2023 | 10,69112177 euros |
16/02/2023 | 10,69062798 euros |