Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
28/08/2017 | 9,54407963 euros |
27/08/2017 | 9,60328715 euros |
26/08/2017 | 9,60361011 euros |
25/08/2017 | 9,60393307 euros |
24/08/2017 | 9,61373693 euros |
23/08/2017 | 9,59033007 euros |
22/08/2017 | 9,64717162 euros |
21/08/2017 | 9,58996238 euros |
20/08/2017 | 9,61395465 euros |
19/08/2017 | 9,61427754 euros |
18/08/2017 | 9,61460043 euros |
17/08/2017 | 9,67523409 euros |
16/08/2017 | 9,78380455 euros |
15/08/2017 | 9,71413391 euros |
14/08/2017 | 9,70028018 euros |
13/08/2017 | 9,54424966 euros |
12/08/2017 | 9,54456993 euros |
11/08/2017 | 9,54489021 euros |
10/08/2017 | 9,70409354 euros |
09/08/2017 | 9,85061616 euros |
08/08/2017 | 9,99194283 euros |
07/08/2017 | 9,9521765 euros |
06/08/2017 | 9,92855222 euros |
05/08/2017 | 9,92888476 euros |
04/08/2017 | 9,9292173 euros |
03/08/2017 | 9,8292834 euros |
02/08/2017 | 9,80383249 euros |
01/08/2017 | 9,84804108 euros |
31/07/2017 | 9,78459593 euros |
30/07/2017 | 9,81597818 euros |
29/07/2017 | 9,81630596 euros |
28/07/2017 | 9,81663374 euros |
27/07/2017 | 9,883926 euros |
26/07/2017 | 9,84769354 euros |
25/07/2017 | 9,8298312 euros |
24/07/2017 | 9,72722476 euros |
23/07/2017 | 9,69470154 euros |
22/07/2017 | 9,69502484 euros |
21/07/2017 | 9,6953487 euros |
20/07/2017 | 9,8378324 euros |
19/07/2017 | 9,8490344 euros |
18/07/2017 | 9,79887439 euros |
17/07/2017 | 9,90908383 euros |
16/07/2017 | 9,91087915 euros |
15/07/2017 | 9,91120979 euros |
14/07/2017 | 9,91154043 euros |
13/07/2017 | 9,90707555 euros |
12/07/2017 | 9,80926136 euros |
11/07/2017 | 9,71602042 euros |
10/07/2017 | 9,78506129 euros |