Fondos liquidativos

Fondo: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

13/09/2025 6,31572903 euros
12/09/2025 6,31587914 euros
11/09/2025 6,31439503 euros
10/09/2025 6,30763095 euros
09/09/2025 6,30330685 euros
08/09/2025 6,29737413 euros
07/09/2025 6,29500864 euros
06/09/2025 6,29517226 euros
05/09/2025 6,29533624 euros
04/09/2025 6,29370072 euros
03/09/2025 6,29399507 euros
02/09/2025 6,29167175 euros
01/09/2025 6,29746358 euros
31/08/2025 6,29661306 euros
30/08/2025 6,29676317 euros
29/08/2025 6,29691388 euros
28/08/2025 6,29788444 euros
27/08/2025 6,29876035 euros
26/08/2025 6,2990477 euros
25/08/2025 6,30183474 euros
24/08/2025 6,30119845 euros
23/08/2025 6,30136124 euros
22/08/2025 6,301524 euros
21/08/2025 6,29872763 euros
20/08/2025 6,29745621 euros
19/08/2025 6,30149054 euros
18/08/2025 6,29824995 euros
17/08/2025 6,30044747 euros
16/08/2025 6,30060992 euros
15/08/2025 6,30077238 euros
14/08/2025 6,30308083 euros
13/08/2025 6,29807986 euros
12/08/2025 6,29112273 euros
11/08/2025 6,28499848 euros
10/08/2025 6,28370235 euros
09/08/2025 6,28386384 euros
08/08/2025 6,28402536 euros
07/08/2025 6,27952991 euros
06/08/2025 6,27626713 euros
05/08/2025 6,27630118 euros
04/08/2025 6,27502139 euros
03/08/2025 6,26619223 euros
02/08/2025 6,26633726 euros
01/08/2025 6,26648271 euros
31/07/2025 6,27928304 euros
30/07/2025 6,27974921 euros
29/07/2025 6,27792282 euros
28/07/2025 6,27001071 euros
27/07/2025 6,26733552 euros
26/07/2025 6,26748893 euros