Fondos liquidativos

Fons: SHORT MATURITY EURO BOND "I"

Data

Valor liquidatiu

16/09/2025 23,76 euros
15/09/2025 23,76 euros
14/09/2025 23,75 euros
13/09/2025 23,75 euros
12/09/2025 23,75 euros
11/09/2025 23,76 euros
10/09/2025 23,76 euros
09/09/2025 23,76 euros
08/09/2025 23,77 euros
07/09/2025 23,76 euros
06/09/2025 23,76 euros
05/09/2025 23,76 euros
04/09/2025 23,74 euros
03/09/2025 23,74 euros
02/09/2025 23,73 euros
01/09/2025 23,73 euros
31/08/2025 23,74 euros
30/08/2025 23,74 euros
29/08/2025 23,74 euros
28/08/2025 23,74 euros
27/08/2025 23,74 euros
26/08/2025 23,74 euros
25/08/2025 23,73 euros
24/08/2025 23,73 euros
23/08/2025 23,73 euros
22/08/2025 23,73 euros
21/08/2025 23,73 euros
20/08/2025 23,74 euros
19/08/2025 23,74 euros
18/08/2025 23,74 euros
17/08/2025 23,74 euros
16/08/2025 23,74 euros
15/08/2025 23,74 euros
14/08/2025 23,74 euros
13/08/2025 23,74 euros
12/08/2025 23,73 euros
11/08/2025 23,73 euros
10/08/2025 23,73 euros
09/08/2025 23,73 euros
08/08/2025 23,73 euros
07/08/2025 23,74 euros
06/08/2025 23,74 euros
05/08/2025 23,74 euros
04/08/2025 23,74 euros
03/08/2025 23,73 euros
02/08/2025 23,73 euros
01/08/2025 23,73 euros
31/07/2025 23,71 euros
30/07/2025 23,7 euros
29/07/2025 23,71 euros