Fondos liquidativos

Fondo: CAIXABANK GESTION 60, FI CLASE ESTANDAR

Fecha

Valor liquidativo

11/02/2024 10,37509647 euros
10/02/2024 10,37536142 euros
09/02/2024 10,37562514 euros
08/02/2024 10,37166026 euros
07/02/2024 10,38406063 euros
06/02/2024 10,36424837 euros
05/02/2024 10,34420064 euros
04/02/2024 10,35163056 euros
03/02/2024 10,35191231 euros
02/02/2024 10,3521941 euros
01/02/2024 10,3269475 euros
31/01/2024 10,32287151 euros
30/01/2024 10,32764707 euros
29/01/2024 10,33687951 euros
28/01/2024 10,30206284 euros
27/01/2024 10,30233389 euros
26/01/2024 10,30260499 euros
25/01/2024 10,30048784 euros
24/01/2024 10,26473896 euros
23/01/2024 10,24611636 euros
22/01/2024 10,23694001 euros
21/01/2024 10,20134529 euros
20/01/2024 10,20160847 euros
19/01/2024 10,20187516 euros
18/01/2024 10,18049036 euros
17/01/2024 10,13914742 euros
16/01/2024 10,20795237 euros
15/01/2024 10,20981263 euros
14/01/2024 10,22626877 euros
13/01/2024 10,2265363 euros
12/01/2024 10,22680408 euros
11/01/2024 10,1805291 euros
10/01/2024 10,18339744 euros
09/01/2024 10,18700557 euros
08/01/2024 10,1907154 euros
07/01/2024 10,1623975 euros
06/01/2024 10,16265783 euros
05/01/2024 10,16291847 euros
04/01/2024 10,16846961 euros
03/01/2024 10,20182484 euros
02/01/2024 10,22608934 euros
01/01/2024 10,23775258 euros
31/12/2023 10,23803966 euros
30/12/2023 10,23830962 euros
29/12/2023 10,23857959 euros
28/12/2023 10,25217497 euros
27/12/2023 10,23479736 euros
26/12/2023 10,22635608 euros
25/12/2023 10,22662458 euros
24/12/2023 10,22688949 euros