Fondos liquidativos

Fondo: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLUS

Fecha

Valor liquidativo

15/10/2025 6,86402623 euros
14/10/2025 6,859758 euros
13/10/2025 6,85891365 euros
12/10/2025 6,86041736 euros
11/10/2025 6,86056446 euros
10/10/2025 6,86071242 euros
09/10/2025 6,86572953 euros
08/10/2025 6,86548332 euros
07/10/2025 6,85903189 euros
06/10/2025 6,85703538 euros
05/10/2025 6,85747319 euros
04/10/2025 6,85761143 euros
03/10/2025 6,85775012 euros
02/10/2025 6,85277397 euros
01/10/2025 6,84820809 euros
30/09/2025 6,84131641 euros
29/09/2025 6,83529303 euros
28/09/2025 6,83186999 euros
27/09/2025 6,83202055 euros
26/09/2025 6,83217158 euros
25/09/2025 6,82579759 euros
24/09/2025 6,83007507 euros
23/09/2025 6,82882163 euros
22/09/2025 6,82582294 euros
21/09/2025 6,82424847 euros
20/09/2025 6,82441417 euros
19/09/2025 6,82456626 euros
18/09/2025 6,82568697 euros
17/09/2025 6,82162937 euros
16/09/2025 6,82552029 euros
15/09/2025 6,83079974 euros
14/09/2025 6,82884529 euros
13/09/2025 6,82898914 euros
12/09/2025 6,8291328 euros
11/09/2025 6,82750916 euros
10/09/2025 6,82017682 euros
09/09/2025 6,81548272 euros
08/09/2025 6,80904935 euros
07/09/2025 6,80647307 euros
06/09/2025 6,80663139 euros
05/09/2025 6,80678998 euros
04/09/2025 6,8050031 euros
03/09/2025 6,80530278 euros
02/09/2025 6,80277196 euros
01/09/2025 6,80901567 euros
31/08/2025 6,80807737 euros
30/08/2025 6,80822108 euros
29/08/2025 6,80836542 euros
28/08/2025 6,80939621 euros
27/08/2025 6,81032446 euros