
Fondo: CAIXABANK FONDOS GLOBAL SELECCION, FI
Fecha |
Valor liquidativo |
---|---|
26/05/2023 | 10,70036737 euros |
25/05/2023 | 10,70684144 euros |
24/05/2023 | 10,71033786 euros |
23/05/2023 | 10,71395505 euros |
22/05/2023 | 10,71374896 euros |
21/05/2023 | 10,71805043 euros |
20/05/2023 | 10,71776096 euros |
19/05/2023 | 10,71747165 euros |
18/05/2023 | 10,71216616 euros |
17/05/2023 | 10,71446769 euros |
16/05/2023 | 10,7215064 euros |
15/05/2023 | 10,72815533 euros |
14/05/2023 | 10,73195347 euros |
13/05/2023 | 10,73167565 euros |
12/05/2023 | 10,73139798 euros |
11/05/2023 | 10,73532369 euros |
10/05/2023 | 10,73123654 euros |
09/05/2023 | 10,7265803 euros |
08/05/2023 | 10,73298738 euros |
07/05/2023 | 10,73331423 euros |
06/05/2023 | 10,73304274 euros |
05/05/2023 | 10,73277079 euros |
04/05/2023 | 10,74025382 euros |
03/05/2023 | 10,72720803 euros |
02/05/2023 | 10,7319879 euros |
01/05/2023 | 10,72603919 euros |
30/04/2023 | 10,72620543 euros |
29/04/2023 | 10,72593005 euros |
28/04/2023 | 10,72565595 euros |
27/04/2023 | 10,71034081 euros |
26/04/2023 | 10,71336287 euros |
25/04/2023 | 10,71303165 euros |
24/04/2023 | 10,70105109 euros |
23/04/2023 | 10,70506252 euros |
22/04/2023 | 10,70477156 euros |
21/04/2023 | 10,70448116 euros |
20/04/2023 | 10,70687329 euros |
19/04/2023 | 10,70004189 euros |
18/04/2023 | 10,70616212 euros |
17/04/2023 | 10,70029344 euros |
16/04/2023 | 10,70085394 euros |
15/04/2023 | 10,70056261 euros |
14/04/2023 | 10,70027163 euros |
13/04/2023 | 10,70567549 euros |
12/04/2023 | 10,7008783 euros |
11/04/2023 | 10,7068339 euros |
10/04/2023 | 10,72630036 euros |
09/04/2023 | 10,72604842 euros |
08/04/2023 | 10,72576713 euros |
07/04/2023 | 10,725486 euros |