Fondos liquidativos

Fons: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE INSTITUCIONAL PLUS

Data

Valor liquidatiu

05/12/2019 8,68870883 euros
04/12/2019 8,71282724 euros
03/12/2019 8,5871855 euros
02/12/2019 8,60583468 euros
01/12/2019 8,78880054 euros
30/11/2019 8,78884435 euros
29/11/2019 8,78888816 euros
28/11/2019 8,79429819 euros
27/11/2019 8,79267008 euros
26/11/2019 8,75747279 euros
25/11/2019 8,7531681 euros
24/11/2019 8,69163664 euros
23/11/2019 8,69167997 euros
22/11/2019 8,69172331 euros
21/11/2019 8,6542998 euros
20/11/2019 8,66505713 euros
19/11/2019 8,69566119 euros
18/11/2019 8,69337804 euros
17/11/2019 8,69802719 euros
16/11/2019 8,69807051 euros
15/11/2019 8,69811384 euros
14/11/2019 8,6153018 euros
13/11/2019 8,63616392 euros
12/11/2019 8,74150713 euros
11/11/2019 8,81790704 euros
10/11/2019 8,82072094 euros
09/11/2019 8,82076512 euros
08/11/2019 8,8208093 euros
07/11/2019 8,86589132 euros
06/11/2019 8,82022351 euros
05/11/2019 8,82416513 euros
04/11/2019 8,83169497 euros
03/11/2019 8,74905844 euros
02/11/2019 8,74910232 euros
01/11/2019 8,74914621 euros
31/10/2019 8,68728964 euros
30/10/2019 8,70219456 euros
29/10/2019 8,78049727 euros
28/10/2019 8,81336034 euros
27/10/2019 8,8094079 euros
26/10/2019 8,80945183 euros
25/10/2019 8,80949577 euros
24/10/2019 8,7747338 euros
23/10/2019 8,76767751 euros
22/10/2019 8,76264296 euros
21/10/2019 8,78368298 euros
20/10/2019 8,71642324 euros
19/10/2019 8,71646687 euros
18/10/2019 8,71651049 euros
17/10/2019 8,72553829 euros