
Fondo: CAIXABANK GESTION 30, FI CLASE PLATINUM
Fecha |
Valor liquidativo |
---|---|
27/01/2025 | 10,48862693 euros |
26/01/2025 | 10,50862689 euros |
25/01/2025 | 10,5084342 euros |
24/01/2025 | 10,50824153 euros |
23/01/2025 | 10,52234352 euros |
22/01/2025 | 10,52519259 euros |
21/01/2025 | 10,51183718 euros |
20/01/2025 | 10,49932135 euros |
19/01/2025 | 10,51421248 euros |
18/01/2025 | 10,51402165 euros |
17/01/2025 | 10,51383165 euros |
16/01/2025 | 10,48845877 euros |
15/01/2025 | 10,47573027 euros |
14/01/2025 | 10,42817741 euros |
13/01/2025 | 10,43605981 euros |
12/01/2025 | 10,44576421 euros |
11/01/2025 | 10,44556793 euros |
10/01/2025 | 10,4453713 euros |
09/01/2025 | 10,49780711 euros |
08/01/2025 | 10,4993573 euros |
07/01/2025 | 10,47517939 euros |
06/01/2025 | 10,48420807 euros |
05/01/2025 | 10,48130156 euros |
04/01/2025 | 10,48110162 euros |
03/01/2025 | 10,48090163 euros |
02/01/2025 | 10,49563279 euros |
01/01/2025 | 10,51568747 euros |
31/12/2024 | 10,48069701 euros |
30/12/2024 | 10,46923223 euros |
29/12/2024 | 10,47738552 euros |
28/12/2024 | 10,47716364 euros |
27/12/2024 | 10,47694124 euros |
26/12/2024 | 10,48750283 euros |
25/12/2024 | 10,52488144 euros |
24/12/2024 | 10,48895022 euros |
23/12/2024 | 10,47711926 euros |
22/12/2024 | 10,47850286 euros |
21/12/2024 | 10,47828286 euros |
20/12/2024 | 10,47806463 euros |
19/12/2024 | 10,47331258 euros |
18/12/2024 | 10,5027084 euros |
17/12/2024 | 10,51977124 euros |
16/12/2024 | 10,52697091 euros |
15/12/2024 | 10,52574626 euros |
14/12/2024 | 10,52553602 euros |
13/12/2024 | 10,52532535 euros |
12/12/2024 | 10,54998266 euros |
11/12/2024 | 10,56660346 euros |
10/12/2024 | 10,54904 euros |
09/12/2024 | 10,55475555 euros |