Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

11/09/2017 39,03200392 euros
10/09/2017 38,27465705 euros
09/09/2017 38,27711207 euros
08/09/2017 38,2795672 euros
07/09/2017 38,26630438 euros
06/09/2017 38,32410991 euros
05/09/2017 38,45282974 euros
04/09/2017 38,79136245 euros
03/09/2017 39,05913342 euros
02/09/2017 39,06165018 euros
01/09/2017 39,0641671 euros
31/08/2017 38,91686213 euros
30/08/2017 38,68014888 euros
29/08/2017 38,41437824 euros
28/08/2017 38,80633272 euros
27/08/2017 39,04827111 euros
26/08/2017 39,05078436 euros
25/08/2017 39,05329784 euros
24/08/2017 39,09436556 euros
23/08/2017 39,00037978 euros
22/08/2017 39,23273933 euros
21/08/2017 39,00128164 euros
20/08/2017 39,10005707 euros
19/08/2017 39,10257188 euros
18/08/2017 39,10508701 euros
17/08/2017 39,35290603 euros
16/08/2017 39,79572649 euros
15/08/2017 39,5135547 euros
14/08/2017 39,45841541 euros
13/08/2017 38,8249137 euros
12/08/2017 38,82740972 euros
11/08/2017 38,82990595 euros
10/08/2017 39,47877991 euros
09/08/2017 40,07610371 euros
08/08/2017 40,65232414 euros
07/08/2017 40,49177852 euros
06/08/2017 40,39690135 euros
05/08/2017 40,39949588 euros
04/08/2017 40,40209061 euros
03/08/2017 39,99668772 euros
02/08/2017 39,89435059 euros
01/08/2017 40,07547845 euros
31/07/2017 39,81851932 euros
30/07/2017 39,94753919 euros
29/07/2017 39,95018265 euros
28/07/2017 39,95282622 euros
27/07/2017 40,22801832 euros
26/07/2017 40,08186435 euros
25/07/2017 40,010473 euros
24/07/2017 39,59413067 euros