Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

03/03/2025 11,84757351 euros
02/03/2025 11,67591677 euros
01/03/2025 11,6766544 euros
28/02/2025 11,67739208 euros
27/02/2025 11,69228832 euros
26/02/2025 11,7823434 euros
25/02/2025 11,58446121 euros
24/02/2025 11,59132218 euros
23/02/2025 11,60908422 euros
22/02/2025 11,60982652 euros
21/02/2025 11,61057074 euros
20/02/2025 11,58532468 euros
19/02/2025 11,60314842 euros
18/02/2025 11,75921206 euros
17/02/2025 11,72339672 euros
16/02/2025 11,66338862 euros
15/02/2025 11,66413981 euros
14/02/2025 11,66489161 euros
13/02/2025 11,68275919 euros
12/02/2025 11,50885978 euros
11/02/2025 11,48172195 euros
10/02/2025 11,42588129 euros
09/02/2025 11,36464378 euros
08/02/2025 11,36537126 euros
07/02/2025 11,36609958 euros
06/02/2025 11,42493761 euros
05/02/2025 11,25256423 euros
04/02/2025 11,24655505 euros
03/02/2025 11,20932552 euros
02/02/2025 11,33000509 euros
01/02/2025 11,33073468 euros
31/01/2025 11,33146426 euros
30/01/2025 11,3304895 euros
29/01/2025 11,21885773 euros
28/01/2025 11,13064647 euros
27/01/2025 11,10082955 euros
26/01/2025 11,18223457 euros
25/01/2025 11,18294454 euros
24/01/2025 11,18365448 euros
23/01/2025 11,19053761 euros
22/01/2025 11,15771244 euros
21/01/2025 11,05886925 euros
20/01/2025 11,03374275 euros
19/01/2025 11,00033161 euros
18/01/2025 11,0010267 euros
17/01/2025 11,0017226 euros
16/01/2025 10,905157 euros
15/01/2025 10,7697275 euros
14/01/2025 10,662213 euros
13/01/2025 10,60152835 euros