
Fondo: CAIXABANK GARANTIZADO EURIBOR, FI
Fecha |
Valor liquidativo |
---|---|
16/07/2023 | 107,51736083 euros |
15/07/2023 | 107,51328456 euros |
14/07/2023 | 107,50920822 euros |
13/07/2023 | 107,54204748 euros |
12/07/2023 | 107,38900524 euros |
11/07/2023 | 107,12926137 euros |
10/07/2023 | 107,21216941 euros |
09/07/2023 | 107,27707351 euros |
08/07/2023 | 107,27298964 euros |
07/07/2023 | 107,26890574 euros |
06/07/2023 | 107,06025067 euros |
05/07/2023 | 107,32515923 euros |
04/07/2023 | 107,14761094 euros |
03/07/2023 | 107,08759539 euros |
02/07/2023 | 107,25379861 euros |
01/07/2023 | 107,24971953 euros |
30/06/2023 | 107,24564046 euros |
29/06/2023 | 107,21215604 euros |
28/06/2023 | 107,38368681 euros |
27/06/2023 | 107,30514805 euros |
26/06/2023 | 107,50128736 euros |
25/06/2023 | 107,40492273 euros |
24/06/2023 | 107,40084706 euros |
23/06/2023 | 107,39677143 euros |
22/06/2023 | 107,21080794 euros |
21/06/2023 | 107,40909497 euros |
20/06/2023 | 107,43431859 euros |
19/06/2023 | 107,39165622 euros |
18/06/2023 | 107,51636238 euros |
17/06/2023 | 107,51229624 euros |
16/06/2023 | 107,50823003 euros |
15/06/2023 | 107,37615741 euros |
14/06/2023 | 107,59465138 euros |
13/06/2023 | 107,70472709 euros |
12/06/2023 | 107,72679616 euros |
11/06/2023 | 107,62196098 euros |
10/06/2023 | 107,61789153 euros |
09/06/2023 | 107,61382208 euros |
08/06/2023 | 107,42675538 euros |
07/06/2023 | 107,40142249 euros |
06/06/2023 | 107,46979907 euros |
05/06/2023 | 107,52107844 euros |
04/06/2023 | 107,70779772 euros |
03/06/2023 | 107,70374454 euros |
02/06/2023 | 107,6996913 euros |
01/06/2023 | 107,63004578 euros |
31/05/2023 | 107,57100579 euros |
30/05/2023 | 107,36805403 euros |
29/05/2023 | 107,21713148 euros |
28/05/2023 | 107,06169376 euros |