Fondos liquidativos

Fondo: CAIXABANK GESTION 30, FI CLASE PLUS

Fecha

Valor liquidativo

27/01/2025 6,71049433 euros
26/01/2025 6,72342822 euros
25/01/2025 6,72344309 euros
24/01/2025 6,72345798 euros
23/01/2025 6,73261911 euros
22/01/2025 6,73458045 euros
21/01/2025 6,72617314 euros
20/01/2025 6,71830274 euros
19/01/2025 6,72796954 euros
18/01/2025 6,72798568 euros
17/01/2025 6,72800249 euros
16/01/2025 6,7119039 euros
15/01/2025 6,70389628 euros
14/01/2025 6,67360168 euros
13/01/2025 6,67878333 euros
12/01/2025 6,68513124 euros
11/01/2025 6,68514299 euros
10/01/2025 6,68515439 euros
09/01/2025 6,71885201 euros
08/01/2025 6,71998225 euros
07/01/2025 6,70464487 euros
06/01/2025 6,71056158 euros
05/01/2025 6,70883908 euros
04/01/2025 6,70884895 euros
03/01/2025 6,70885885 euros
02/01/2025 6,71842597 euros
01/01/2025 6,73140156 euros
31/12/2024 6,70915463 euros
30/12/2024 6,70195244 euros
29/12/2024 6,70730885 euros
28/12/2024 6,70730384 euros
27/12/2024 6,70729821 euros
26/12/2024 6,71419689 euros
25/12/2024 6,73826469 euros
24/12/2024 6,71539791 euros
23/12/2024 6,70796303 euros
22/12/2024 6,70898594 euros
21/12/2024 6,70898215 euros
20/12/2024 6,70897917 euros
19/12/2024 6,70607347 euros
18/12/2024 6,72503303 euros
17/12/2024 6,73610068 euros
16/12/2024 6,74084853 euros
15/12/2024 6,74020204 euros
14/12/2024 6,74020512 euros
13/12/2024 6,7402084 euros
12/12/2024 6,75613648 euros
11/12/2024 6,76691857 euros
10/12/2024 6,75580921 euros
09/12/2024 6,75961639 euros