
Fondo: CAIXABANK FONDOS GLOBAL SELECCION, FI
Fecha |
Valor liquidativo |
---|---|
03/09/2023 | 10,79408834 euros |
02/09/2023 | 10,79366336 euros |
01/09/2023 | 10,79323836 euros |
31/08/2023 | 10,79340318 euros |
30/08/2023 | 10,7841152 euros |
29/08/2023 | 10,78474102 euros |
28/08/2023 | 10,78321875 euros |
27/08/2023 | 10,784324 euros |
26/08/2023 | 10,78389495 euros |
25/08/2023 | 10,78346559 euros |
24/08/2023 | 10,78874256 euros |
23/08/2023 | 10,78709104 euros |
22/08/2023 | 10,77553011 euros |
21/08/2023 | 10,77314655 euros |
20/08/2023 | 10,77816978 euros |
19/08/2023 | 10,77773629 euros |
18/08/2023 | 10,77730298 euros |
17/08/2023 | 10,77248997 euros |
16/08/2023 | 10,77579474 euros |
15/08/2023 | 10,77656897 euros |
14/08/2023 | 10,77644634 euros |
13/08/2023 | 10,77895306 euros |
12/08/2023 | 10,77851852 euros |
11/08/2023 | 10,77808442 euros |
10/08/2023 | 10,78256402 euros |
09/08/2023 | 10,78224798 euros |
08/08/2023 | 10,78384571 euros |
07/08/2023 | 10,77898614 euros |
06/08/2023 | 10,77615274 euros |
05/08/2023 | 10,77573431 euros |
04/08/2023 | 10,77531558 euros |
03/08/2023 | 10,77440584 euros |
02/08/2023 | 10,77256465 euros |
01/08/2023 | 10,76802588 euros |
31/07/2023 | 10,76795326 euros |
30/07/2023 | 10,76648066 euros |
29/07/2023 | 10,76605307 euros |
28/07/2023 | 10,76562586 euros |
27/07/2023 | 10,76073969 euros |
26/07/2023 | 10,75255736 euros |
25/07/2023 | 10,75785871 euros |
24/07/2023 | 10,75815594 euros |
23/07/2023 | 10,75182367 euros |
22/07/2023 | 10,75138547 euros |
21/07/2023 | 10,75094694 euros |
20/07/2023 | 10,74691168 euros |
19/07/2023 | 10,75100612 euros |
18/07/2023 | 10,75100557 euros |
17/07/2023 | 10,73991241 euros |
16/07/2023 | 10,73935842 euros |