Fondos liquidativos

Fondo: CAIXABANK SELECCION RETORNO ABSOLUTO, FI CLASE PLATINUM

Fecha

Valor liquidativo

01/12/2025 6,56969999 euros
30/11/2025 6,56819999 euros
29/11/2025 6,56831999 euros
28/11/2025 6,56843999 euros
27/11/2025 6,56267999 euros
26/11/2025 6,56321999 euros
25/11/2025 6,55235999 euros
24/11/2025 6,53951999 euros
23/11/2025 6,53249999 euros
22/11/2025 6,53261999 euros
21/11/2025 6,53279999 euros
20/11/2025 6,54113999 euros
19/11/2025 6,53303999 euros
18/11/2025 6,53177999 euros
17/11/2025 6,53909999 euros
16/11/2025 6,54005999 euros
15/11/2025 6,54017999 euros
14/11/2025 6,54029999 euros
13/11/2025 6,54893999 euros
12/11/2025 6,55271999 euros
11/11/2025 6,54029999 euros
10/11/2025 6,53453999 euros
09/11/2025 6,52469999 euros
08/11/2025 6,52481999 euros
07/11/2025 6,52493999 euros
06/11/2025 6,52943999 euros
05/11/2025 6,53051999 euros
04/11/2025 6,52823999 euros
03/11/2025 6,52967999 euros
02/11/2025 6,52841999 euros
01/11/2025 6,52853999 euros
31/10/2025 6,52865999 euros
30/10/2025 6,52559999 euros
29/10/2025 6,52571999 euros
28/10/2025 6,51953999 euros
27/10/2025 6,50951999 euros
26/10/2025 6,50813999 euros
25/10/2025 6,50825999 euros
24/10/2025 6,50837999 euros
23/10/2025 6,50045999 euros
22/10/2025 6,49991999 euros
21/10/2025 6,50225999 euros
20/10/2025 6,50039999 euros
19/10/2025 6,49367999 euros
18/10/2025 6,49379999 euros
17/10/2025 6,49391999 euros
16/10/2025 6,50105999 euros
15/10/2025 6,49721999 euros
14/10/2025 6,49313999 euros
13/10/2025 6,49229999 euros