Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

14/04/2017 38,78548261 euros
13/04/2017 38,78803747 euros
12/04/2017 38,91115943 euros
11/04/2017 39,24086914 euros
10/04/2017 39,38556416 euros
09/04/2017 39,74500852 euros
08/04/2017 39,7477439 euros
07/04/2017 39,75047905 euros
06/04/2017 39,72050869 euros
05/04/2017 39,27964514 euros
04/04/2017 38,97156469 euros
03/04/2017 38,84707548 euros
02/04/2017 39,3799756 euros
01/04/2017 39,38257244 euros
31/03/2017 39,38516942 euros
30/03/2017 39,28782663 euros
29/03/2017 39,06055656 euros
28/03/2017 39,11254599 euros
27/03/2017 38,69599395 euros
26/03/2017 38,83449859 euros
25/03/2017 38,83705949 euros
24/03/2017 38,8396207 euros
23/03/2017 38,86127255 euros
22/03/2017 38,49015267 euros
21/03/2017 38,42140756 euros
20/03/2017 38,54134942 euros
19/03/2017 38,61580464 euros
18/03/2017 38,61835123 euros
17/03/2017 38,62089771 euros
16/03/2017 38,31288165 euros
15/03/2017 37,52126291 euros
14/03/2017 37,09913328 euros
13/03/2017 37,51952933 euros
12/03/2017 37,57496883 euros
11/03/2017 37,57744381 euros
10/03/2017 37,57991801 euros
09/03/2017 37,4126948 euros
08/03/2017 36,88533648 euros
07/03/2017 36,75273104 euros
06/03/2017 36,89964037 euros
05/03/2017 36,99303239 euros
04/03/2017 36,99546907 euros
03/03/2017 36,99790572 euros
02/03/2017 36,65272128 euros
01/03/2017 36,79185884 euros
28/02/2017 35,99790898 euros
27/02/2017 35,59841758 euros
26/02/2017 35,60258933 euros
25/02/2017 35,60493552 euros
24/02/2017 35,60728183 euros