Fondos liquidativos

Fons: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE PLUS

Data

Valor liquidatiu

16/09/2020 7,63952931 euros
15/09/2020 7,60321179 euros
14/09/2020 7,53927263 euros
13/09/2020 7,54463999 euros
12/09/2020 7,54499118 euros
11/09/2020 7,54534225 euros
10/09/2020 7,58597171 euros
09/09/2020 7,58967096 euros
08/09/2020 7,48327539 euros
07/09/2020 7,61998004 euros
06/09/2020 7,53275721 euros
05/09/2020 7,53310773 euros
04/09/2020 7,53345829 euros
03/09/2020 7,51024407 euros
02/09/2020 7,52092633 euros
01/09/2020 7,51938327 euros
31/08/2020 7,52584283 euros
30/08/2020 7,67515161 euros
29/08/2020 7,67550972 euros
28/08/2020 7,67586777 euros
27/08/2020 7,6251584 euros
26/08/2020 7,68091295 euros
25/08/2020 7,68338188 euros
24/08/2020 7,70392043 euros
23/08/2020 7,58586458 euros
22/08/2020 7,58621874 euros
21/08/2020 7,58657292 euros
20/08/2020 7,60611833 euros
19/08/2020 7,70026961 euros
18/08/2020 7,67230842 euros
17/08/2020 7,72410933 euros
16/08/2020 7,77661391 euros
15/08/2020 7,77697709 euros
14/08/2020 7,77734027 euros
13/08/2020 7,87146976 euros
12/08/2020 7,9098141 euros
11/08/2020 7,83314234 euros
10/08/2020 7,68834548 euros
09/08/2020 7,59281126 euros
08/08/2020 7,59316804 euros
07/08/2020 7,59352476 euros
06/08/2020 7,60026661 euros
05/08/2020 7,67910119 euros
04/08/2020 7,66841064 euros
03/08/2020 7,66343335 euros
02/08/2020 7,55842837 euros
01/08/2020 7,5587793 euros
31/07/2020 7,55913024 euros
30/07/2020 7,65053166 euros
29/07/2020 7,85893495 euros