Fondos liquidativos

Fondo: CAIXABANK GESTION 60, FI CLASE ESTANDAR

Fecha

Valor liquidativo

17/03/2025 10,93750796 euros
16/03/2025 10,89506267 euros
15/03/2025 10,89537122 euros
14/03/2025 10,89568037 euros
13/03/2025 10,84242148 euros
12/03/2025 10,86622528 euros
11/03/2025 10,83230495 euros
10/03/2025 10,91995183 euros
09/03/2025 10,96909479 euros
08/03/2025 10,96940885 euros
07/03/2025 10,96972247 euros
06/03/2025 11,01825518 euros
05/03/2025 11,04083114 euros
04/03/2025 11,12154256 euros
03/03/2025 11,27070658 euros
02/03/2025 11,30915914 euros
01/03/2025 11,30946912 euros
28/02/2025 11,30976701 euros
27/02/2025 11,32078383 euros
26/02/2025 11,32895348 euros
25/02/2025 11,27431252 euros
24/02/2025 11,32856328 euros
23/02/2025 11,37474065 euros
22/02/2025 11,37504277 euros
21/02/2025 11,375345 euros
20/02/2025 11,37204567 euros
19/02/2025 11,40561154 euros
18/02/2025 11,41505411 euros
17/02/2025 11,39536256 euros
16/02/2025 11,38485217 euros
15/02/2025 11,38515655 euros
14/02/2025 11,38546092 euros
13/02/2025 11,38433048 euros
12/02/2025 11,34850122 euros
11/02/2025 11,39019058 euros
10/02/2025 11,42029641 euros
09/02/2025 11,3809462 euros
08/02/2025 11,38124154 euros
07/02/2025 11,38153625 euros
06/02/2025 11,39059407 euros
05/02/2025 11,34798362 euros
04/02/2025 11,34128791 euros
03/02/2025 11,33762565 euros
02/02/2025 11,35828707 euros
01/02/2025 11,35858002 euros
31/01/2025 11,35888594 euros
30/01/2025 11,32296037 euros
29/01/2025 11,27738455 euros
28/01/2025 11,25902379 euros
27/01/2025 11,21496155 euros