Fondos liquidativos

Fons: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE PLUS

Data

Valor liquidatiu

01/10/2019 8,94737435 euros
30/09/2019 9,03558302 euros
29/09/2019 8,98573301 euros
28/09/2019 8,98616555 euros
27/09/2019 8,98659761 euros
26/09/2019 8,93850614 euros
25/09/2019 8,90068816 euros
24/09/2019 8,95881453 euros
23/09/2019 8,93074878 euros
22/09/2019 9,00763292 euros
21/09/2019 9,00806589 euros
20/09/2019 9,00849889 euros
19/09/2019 8,98782697 euros
18/09/2019 8,90362707 euros
17/09/2019 8,88451702 euros
16/09/2019 8,9195847 euros
15/09/2019 9,00561232 euros
14/09/2019 9,00604029 euros
13/09/2019 9,00646764 euros
12/09/2019 8,97860224 euros
11/09/2019 8,94567996 euros
10/09/2019 8,96512173 euros
09/09/2019 8,97636554 euros
08/09/2019 9,01647899 euros
07/09/2019 9,01690698 euros
06/09/2019 9,017335 euros
05/09/2019 9,0064784 euros
04/09/2019 8,9226911 euros
03/09/2019 8,87586385 euros
02/09/2019 8,88526758 euros
01/09/2019 8,87292136 euros
31/08/2019 8,87334464 euros
30/08/2019 8,87375432 euros
29/08/2019 8,85412555 euros
28/08/2019 8,81025577 euros
27/08/2019 8,78595017 euros
26/08/2019 8,73909543 euros
25/08/2019 8,73253297 euros
24/08/2019 8,73293637 euros
23/08/2019 8,7333398 euros
22/08/2019 8,75796104 euros
21/08/2019 8,78755131 euros
20/08/2019 8,68111773 euros
19/08/2019 8,75729755 euros
18/08/2019 8,66611911 euros
17/08/2019 8,66651945 euros
16/08/2019 8,66691983 euros
15/08/2019 8,52888073 euros
14/08/2019 8,55490366 euros
13/08/2019 8,69630897 euros