Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE PLUS

Fecha

Valor liquidativo

30/10/2018 8,38102929 euros
29/10/2018 8,37969465 euros
28/10/2018 8,27865519 euros
27/10/2018 8,27903904 euros
26/10/2018 8,27942305 euros
25/10/2018 8,3612125 euros
24/10/2018 8,28870077 euros
23/10/2018 8,33372504 euros
22/10/2018 8,42090667 euros
21/10/2018 8,49147467 euros
20/10/2018 8,4918682 euros
19/10/2018 8,49226238 euros
18/10/2018 8,4991098 euros
17/10/2018 8,57381931 euros
16/10/2018 8,61528009 euros
15/10/2018 8,47399317 euros
14/10/2018 8,43823386 euros
13/10/2018 8,43861664 euros
12/10/2018 8,43899943 euros
11/10/2018 8,5447311 euros
10/10/2018 8,69871285 euros
09/10/2018 8,79340929 euros
08/10/2018 8,73614864 euros
07/10/2018 8,7855655 euros
06/10/2018 8,78596036 euros
05/10/2018 8,78635525 euros
04/10/2018 8,8487026 euros
03/10/2018 8,90317123 euros
02/10/2018 8,8778094 euros
01/10/2018 8,96230642 euros
30/09/2018 8,91859801 euros
29/09/2018 8,91900013 euros
28/09/2018 8,91940228 euros
27/09/2018 9,03564544 euros
26/09/2018 9,02271726 euros
25/09/2018 9,00836342 euros
24/09/2018 9,0150431 euros
23/09/2018 9,09568603 euros
22/09/2018 9,09609355 euros
21/09/2018 9,09650093 euros
20/09/2018 9,09247661 euros
19/09/2018 9,01437445 euros
18/09/2018 8,95937261 euros
17/09/2018 8,89475242 euros
16/09/2018 8,8676946 euros
15/09/2018 8,86809412 euros
14/09/2018 8,86849357 euros
13/09/2018 8,82208353 euros
12/09/2018 8,83205836 euros
11/09/2018 8,80308467 euros