Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE PLUS

Fecha

Valor liquidativo

06/02/2024 11,99018815 euros
05/02/2024 11,92093077 euros
04/02/2024 12,06628443 euros
03/02/2024 12,06677903 euros
02/02/2024 12,0672741 euros
01/02/2024 11,99737634 euros
31/01/2024 12,09209498 euros
30/01/2024 12,05382875 euros
29/01/2024 11,86728598 euros
28/01/2024 11,89414215 euros
27/01/2024 11,89461889 euros
26/01/2024 11,89509454 euros
25/01/2024 11,8762712 euros
24/01/2024 11,97352525 euros
23/01/2024 11,82755197 euros
22/01/2024 11,9614222 euros
21/01/2024 11,83631288 euros
20/01/2024 11,83676648 euros
19/01/2024 11,83722162 euros
18/01/2024 11,85806384 euros
17/01/2024 11,83283517 euros
16/01/2024 11,97627671 euros
15/01/2024 12,06446259 euros
14/01/2024 12,08610413 euros
13/01/2024 12,0865586 euros
12/01/2024 12,08701373 euros
11/01/2024 11,97436465 euros
10/01/2024 12,05591943 euros
09/01/2024 12,0580037 euros
08/01/2024 12,19470045 euros
07/01/2024 12,14867622 euros
06/01/2024 12,14911871 euros
05/01/2024 12,14956153 euros
04/01/2024 12,16298859 euros
03/01/2024 12,00594434 euros
02/01/2024 12,16195997 euros
01/01/2024 12,05140554 euros
31/12/2023 12,05191603 euros
30/12/2023 12,05237004 euros
29/12/2023 12,05282476 euros
28/12/2023 12,03649777 euros
27/12/2023 12,07311868 euros
26/12/2023 12,04939866 euros
25/12/2023 12,04985435 euros
24/12/2023 12,05031006 euros
23/12/2023 12,05076577 euros
22/12/2023 12,05122163 euros
21/12/2023 12,0351131 euros
20/12/2023 12,02942581 euros
19/12/2023 12,03538485 euros