Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA

Fecha

Valor liquidativo

14/12/2018 8,63599428 euros
13/12/2018 8,67931614 euros
12/12/2018 8,63539914 euros
11/12/2018 8,5310285 euros
10/12/2018 8,47209289 euros
09/12/2018 8,64227849 euros
08/12/2018 8,64257702 euros
07/12/2018 8,64287556 euros
06/12/2018 8,59419229 euros
05/12/2018 8,84377214 euros
04/12/2018 8,89109321 euros
03/12/2018 9,0159982 euros
02/12/2018 8,90209574 euros
01/12/2018 8,90240319 euros
30/11/2018 8,90271066 euros
29/11/2018 8,92475493 euros
28/11/2018 8,91262919 euros
27/11/2018 8,8815405 euros
26/11/2018 8,88673546 euros
25/11/2018 8,70299756 euros
24/11/2018 8,70329808 euros
23/11/2018 8,70359863 euros
22/11/2018 8,67375602 euros
21/11/2018 8,74000389 euros
20/11/2018 8,63437146 euros
19/11/2018 8,80253217 euros
18/11/2018 8,86277313 euros
17/11/2018 8,86308207 euros
16/11/2018 8,86339103 euros
15/11/2018 8,88552219 euros
14/11/2018 8,9159173 euros
13/11/2018 8,95495648 euros
12/11/2018 8,88310453 euros
11/11/2018 8,92427853 euros
10/11/2018 8,92458587 euros
09/11/2018 8,92489321 euros
08/11/2018 8,97477833 euros
07/11/2018 8,97391616 euros
06/11/2018 8,78171669 euros
05/11/2018 8,83007595 euros
04/11/2018 8,81989391 euros
03/11/2018 8,82019841 euros
02/11/2018 8,82050291 euros
01/11/2018 8,78680586 euros
31/10/2018 8,72888155 euros
30/10/2018 8,64981526 euros
29/10/2018 8,64833682 euros
28/10/2018 8,54395869 euros
27/10/2018 8,54425533 euros
26/10/2018 8,544552 euros