Fondos liquidativos

Fondo: CAIXABANK GESTION 60, FI CLASE PLATINUM

Fecha

Valor liquidativo

27/01/2025 13,37380343 euros
26/01/2025 13,45022042 euros
25/01/2025 13,45023227 euros
24/01/2025 13,45024405 euros
23/01/2025 13,48054937 euros
22/01/2025 13,47909274 euros
21/01/2025 13,43967412 euros
20/01/2025 13,40621768 euros
19/01/2025 13,45586881 euros
18/01/2025 13,45588055 euros
17/01/2025 13,45589255 euros
16/01/2025 13,39106541 euros
15/01/2025 13,36592949 euros
14/01/2025 13,24970868 euros
13/01/2025 13,26252613 euros
12/01/2025 13,27879486 euros
11/01/2025 13,27881209 euros
10/01/2025 13,27883017 euros
09/01/2025 13,34385458 euros
08/01/2025 13,3391216 euros
07/01/2025 13,35371909 euros
06/01/2025 13,38223871 euros
05/01/2025 13,3602398 euros
04/01/2025 13,36025593 euros
03/01/2025 13,360272 euros
02/01/2025 13,37649785 euros
01/01/2025 13,33619013 euros
31/12/2024 13,33619325 euros
30/12/2024 13,30816153 euros
29/12/2024 13,34632769 euros
28/12/2024 13,34632982 euros
27/12/2024 13,34633143 euros
26/12/2024 13,367144 euros
25/12/2024 13,37296444 euros
24/12/2024 13,37296601 euros
23/12/2024 13,33527366 euros
22/12/2024 13,32922941 euros
21/12/2024 13,32923891 euros
20/12/2024 13,32924989 euros
19/12/2024 13,324401 euros
18/12/2024 13,38062377 euros
17/12/2024 13,43650761 euros
16/12/2024 13,45339095 euros
15/12/2024 13,44994293 euros
14/12/2024 13,4499479 euros
13/12/2024 13,44995133 euros
12/12/2024 13,49485445 euros
11/12/2024 13,52371431 euros
10/12/2024 13,47019624 euros
09/12/2024 13,49264078 euros