
Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
18/03/2025 | 18,25019939 euros |
17/03/2025 | 17,9224307 euros |
16/03/2025 | 17,74425029 euros |
15/03/2025 | 17,74481319 euros |
14/03/2025 | 17,74537901 euros |
13/03/2025 | 17,49807066 euros |
12/03/2025 | 17,49264047 euros |
11/03/2025 | 17,58857389 euros |
10/03/2025 | 17,84020338 euros |
09/03/2025 | 18,08295998 euros |
08/03/2025 | 18,08352953 euros |
07/03/2025 | 18,08410071 euros |
06/03/2025 | 18,10372435 euros |
05/03/2025 | 18,00843804 euros |
04/03/2025 | 17,63518014 euros |
03/03/2025 | 18,13165341 euros |
02/03/2025 | 18,03987135 euros |
01/03/2025 | 18,04045156 euros |
28/02/2025 | 18,04103178 euros |
27/02/2025 | 17,96838079 euros |
26/02/2025 | 18,00510518 euros |
25/02/2025 | 17,71758574 euros |
24/02/2025 | 17,566464 euros |
23/02/2025 | 17,51804728 euros |
22/02/2025 | 17,51860839 euros |
21/02/2025 | 17,51916798 euros |
20/02/2025 | 17,53500375 euros |
19/02/2025 | 17,50968752 euros |
18/02/2025 | 17,79677418 euros |
17/02/2025 | 17,58665897 euros |
16/02/2025 | 17,4621974 euros |
15/02/2025 | 17,46280055 euros |
14/02/2025 | 17,46340637 euros |
13/02/2025 | 17,41731466 euros |
12/02/2025 | 17,43278846 euros |
11/02/2025 | 17,21228988 euros |
10/02/2025 | 17,12016066 euros |
09/02/2025 | 17,07901103 euros |
08/02/2025 | 17,07958333 euros |
07/02/2025 | 17,08015575 euros |
06/02/2025 | 17,18208316 euros |
05/02/2025 | 16,89820607 euros |
04/02/2025 | 16,69089606 euros |
03/02/2025 | 16,47327328 euros |
02/02/2025 | 16,74806549 euros |
01/02/2025 | 16,7486438 euros |
31/01/2025 | 16,74922158 euros |
30/01/2025 | 16,79677614 euros |
29/01/2025 | 16,61441936 euros |
28/01/2025 | 16,42017949 euros |