Fondos liquidativos

Fons: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE INSTITUCIONAL PLUS

Data

Valor liquidatiu

08/08/2019 8,27229604 euros
07/08/2019 8,16066589 euros
06/08/2019 8,11903183 euros
05/08/2019 8,19028764 euros
04/08/2019 8,30167959 euros
03/08/2019 8,30172003 euros
02/08/2019 8,30176048 euros
01/08/2019 8,43092136 euros
31/07/2019 8,3701245 euros
30/07/2019 8,38335076 euros
29/07/2019 8,5964925 euros
28/07/2019 8,60163318 euros
27/07/2019 8,60167496 euros
26/07/2019 8,60171674 euros
25/07/2019 8,66170049 euros
24/07/2019 8,69821712 euros
23/07/2019 8,65337725 euros
22/07/2019 8,54317301 euros
21/07/2019 8,5499544 euros
20/07/2019 8,5499961 euros
19/07/2019 8,55003781 euros
18/07/2019 8,60125951 euros
17/07/2019 8,65558388 euros
16/07/2019 8,74106063 euros
15/07/2019 8,69367967 euros
14/07/2019 8,66454341 euros
13/07/2019 8,66458571 euros
12/07/2019 8,66462801 euros
11/07/2019 8,65273813 euros
10/07/2019 8,62734657 euros
09/07/2019 8,64110965 euros
08/07/2019 8,6536456 euros
07/07/2019 8,69786672 euros
06/07/2019 8,69790907 euros
05/07/2019 8,69795142 euros
04/07/2019 8,75799129 euros
03/07/2019 8,72506088 euros
02/07/2019 8,62168414 euros
01/07/2019 8,60485024 euros
30/06/2019 8,54025491 euros
29/06/2019 8,54029362 euros
28/06/2019 8,54033233 euros
27/06/2019 8,48679517 euros
26/06/2019 8,48587604 euros
25/06/2019 8,48947029 euros
24/06/2019 8,51825587 euros
23/06/2019 8,54101816 euros
22/06/2019 8,54105682 euros
21/06/2019 8,54109549 euros
20/06/2019 8,52301969 euros