Fondos liquidativos

Fons: SHORT MATURITY EURO BOND "I"

Data

Valor liquidatiu

05/11/2025 23,86 euros
04/11/2025 23,86 euros
03/11/2025 23,86 euros
02/11/2025 23,86 euros
01/11/2025 23,86 euros
31/10/2025 23,86 euros
30/10/2025 23,85 euros
29/10/2025 23,86 euros
28/10/2025 23,85 euros
27/10/2025 23,85 euros
26/10/2025 23,84 euros
25/10/2025 23,84 euros
24/10/2025 23,84 euros
23/10/2025 23,86 euros
22/10/2025 23,86 euros
21/10/2025 23,86 euros
20/10/2025 23,85 euros
19/10/2025 23,85 euros
18/10/2025 23,85 euros
17/10/2025 23,85 euros
16/10/2025 23,85 euros
15/10/2025 23,84 euros
14/10/2025 23,83 euros
13/10/2025 23,83 euros
12/10/2025 23,81 euros
11/10/2025 23,81 euros
10/10/2025 23,81 euros
09/10/2025 23,81 euros
08/10/2025 23,81 euros
07/10/2025 23,8 euros
06/10/2025 23,8 euros
05/10/2025 23,8 euros
04/10/2025 23,8 euros
03/10/2025 23,8 euros
02/10/2025 23,79 euros
01/10/2025 23,79 euros
30/09/2025 23,78 euros
29/09/2025 23,78 euros
28/09/2025 23,77 euros
27/09/2025 23,77 euros
26/09/2025 23,77 euros
25/09/2025 23,77 euros
24/09/2025 23,77 euros
23/09/2025 23,77 euros
22/09/2025 23,77 euros
21/09/2025 23,77 euros
20/09/2025 23,77 euros
19/09/2025 23,77 euros
18/09/2025 23,76 euros
17/09/2025 23,74 euros