Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA

Fecha

Valor liquidativo

29/03/2021 10,54751621 euros
28/03/2021 10,56152489 euros
27/03/2021 10,56189648 euros
26/03/2021 10,56226807 euros
25/03/2021 10,41882452 euros
24/03/2021 10,48948848 euros
23/03/2021 10,40810343 euros
22/03/2021 10,37536691 euros
21/03/2021 10,57066506 euros
20/03/2021 10,57103618 euros
19/03/2021 10,57140733 euros
18/03/2021 10,73147144 euros
17/03/2021 10,65878588 euros
16/03/2021 10,67669515 euros
15/03/2021 10,65263289 euros
14/03/2021 10,70185215 euros
13/03/2021 10,70222859 euros
12/03/2021 10,7026012 euros
11/03/2021 10,6188531 euros
10/03/2021 10,58006215 euros
09/03/2021 10,58439225 euros
08/03/2021 10,56072257 euros
07/03/2021 10,36978051 euros
06/03/2021 10,37014967 euros
05/03/2021 10,37051886 euros
04/03/2021 10,4274289 euros
03/03/2021 10,42839962 euros
02/03/2021 10,38353521 euros
01/03/2021 10,43257205 euros
28/02/2021 10,25278367 euros
27/02/2021 10,25314606 euros
26/02/2021 10,25350847 euros
25/02/2021 10,3780788 euros
24/02/2021 10,29330591 euros
23/02/2021 10,22237658 euros
22/02/2021 10,08684111 euros
21/02/2021 10,13907005 euros
20/02/2021 10,1394306 euros
19/02/2021 10,13979114 euros
18/02/2021 9,9712257 euros
17/02/2021 9,98580163 euros
16/02/2021 10,05190343 euros
15/02/2021 10,06671194 euros
14/02/2021 9,87085522 euros
13/02/2021 9,87120334 euros
12/02/2021 9,87154601 euros
11/02/2021 9,87205979 euros
10/02/2021 9,88314378 euros
09/02/2021 9,90355673 euros
08/02/2021 10,05821441 euros