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Ibercaja Gestión Evolución Fi (147149035)

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10.21 -0.02    -0.18%
19/12 - Closed. Currency in EUR
Type:  Fund
Market:  Spain
Issuer:  Ibercaja Gestión SGIIC
ISIN:  ES0147149035 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 1.84B
Ibercaja Seleccion Renta Internacional FI 10.21 -0.02 -0.18%

Ibercaja Gestión Evolución Fi Overview

 
Information on users’ sentiments for the Ibercaja Gestión Evolución Fi fund, which are displayed both on charts of different periods of time and on a detailed table.
Start Date Username Call Open Rate End Date Chg. %
Oct 07, 2024 Alberto sanz   10.10 Nov 01, 2024 @ 10.14 +0.43%
Jul 16, 2024 Luis Miguel Toledo...   9.97 Jul 16, 2024 @ 9.97 0.00%
Jun 19, 2024 Missael Cirilo   9.93 Jul 12, 2024 @ 9.95 +0.17%
Aug 02, 2022 Sonia BC   9.28 Aug 26, 2022 @ 9.27 -0.12%
May 24, 2022 Jose Francisco Gómez...   9.20 Jun 17, 2022 @ 9.07 -1.38%
Apr 27, 2022 isabelino galan   9.39 May 20, 2022 @ 9.25 +1.51%
Feb 25, 2022 Jesús Regueira Sanz   9.55 Mar 18, 2022 @ 9.32 -2.45%
Feb 25, 2022 Jesús Regueira Sanz   9.55 Feb 25, 2022 @ 9.55 0.00%
Jun 03, 2021 Jose Vicente Herrera...   9.74 Jun 25, 2021 @ 9.84 +0.99%
May 13, 2021 Jose Antonio Lopez...   9.73 Jun 04, 2021 @ 9.76 +0.28%
Mar 23, 2021 Juan Martín Villate   9.70 Apr 16, 2021 @ 9.77 -0.68%
Feb 09, 2021 Mario Lacueva   9.71 Mar 05, 2021 @ 9.65 +0.62%
Dec 15, 2020 Jose Vicente Herrera...   9.54 Jan 08, 2021 @ 9.57 +0.28%
May 10, 2019 Alberto Delgado   9.13 May 31, 2019 @ 9.05 -0.86%
Aug 24, 2018 David Escobar Lort   9.06 Sep 23, 2018 @ 9.05 -0.12%
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