Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

24/01/2019 35,65753643 euros
23/01/2019 35,59969558 euros
22/01/2019 35,32514085 euros
21/01/2019 35,39561807 euros
20/01/2019 35,42812399 euros
19/01/2019 35,43046523 euros
18/01/2019 35,43280662 euros
17/01/2019 34,89619542 euros
16/01/2019 34,92655524 euros
15/01/2019 34,71183846 euros
14/01/2019 34,6705777 euros
13/01/2019 34,87445944 euros
12/01/2019 34,87676073 euros
11/01/2019 34,87906223 euros
10/01/2019 34,83069005 euros
09/01/2019 34,63039608 euros
08/01/2019 34,7612707 euros
07/01/2019 34,46854484 euros
06/01/2019 34,25771297 euros
05/01/2019 34,25997556 euros
04/01/2019 34,26223827 euros
03/01/2019 33,43249478 euros
02/01/2019 33,36039566 euros
01/01/2019 33,4078175 euros
31/12/2018 33,41000618 euros
30/12/2018 33,20684582 euros
29/12/2018 33,20902186 euros
28/12/2018 33,21119828 euros
27/12/2018 32,74409218 euros
26/12/2018 33,19434306 euros
25/12/2018 33,19747797 euros
24/12/2018 33,19965297 euros
23/12/2018 33,42395538 euros
22/12/2018 33,42614689 euros
21/12/2018 33,42833782 euros
20/12/2018 33,54319573 euros
19/12/2018 34,22177059 euros
18/12/2018 33,97359787 euros
17/12/2018 34,29885309 euros
16/12/2018 34,60223707 euros
15/12/2018 34,60450307 euros
14/12/2018 34,60676939 euros
13/12/2018 34,78144402 euros
12/12/2018 34,60651856 euros
11/12/2018 34,18931322 euros
10/12/2018 33,95416674 euros
09/12/2018 34,6372984 euros
08/12/2018 34,63956255 euros
07/12/2018 34,64182707 euros
06/12/2018 34,44775964 euros