Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
09/06/2019 | 9,06762363 euros |
08/06/2019 | 9,06793509 euros |
07/06/2019 | 9,06824656 euros |
06/06/2019 | 8,95911073 euros |
05/06/2019 | 8,95937982 euros |
04/06/2019 | 8,92414816 euros |
03/06/2019 | 8,88718232 euros |
02/06/2019 | 8,90889173 euros |
01/06/2019 | 8,90920111 euros |
31/05/2019 | 8,90951103 euros |
30/05/2019 | 9,01906675 euros |
29/05/2019 | 8,93000315 euros |
28/05/2019 | 9,05322906 euros |
27/05/2019 | 9,05792188 euros |
26/05/2019 | 9,01490722 euros |
25/05/2019 | 9,01521287 euros |
24/05/2019 | 9,01551852 euros |
23/05/2019 | 8,96571402 euros |
22/05/2019 | 9,08823465 euros |
21/05/2019 | 9,11093113 euros |
20/05/2019 | 9,0511023 euros |
19/05/2019 | 9,15165839 euros |
18/05/2019 | 9,15197128 euros |
17/05/2019 | 9,15228416 euros |
16/05/2019 | 9,16305496 euros |
15/05/2019 | 9,01092408 euros |
14/05/2019 | 8,96112641 euros |
13/05/2019 | 8,91542387 euros |
12/05/2019 | 9,02460795 euros |
11/05/2019 | 9,02491852 euros |
10/05/2019 | 9,0252291 euros |
09/05/2019 | 9,00343925 euros |
08/05/2019 | 9,16460243 euros |
07/05/2019 | 9,18991679 euros |
06/05/2019 | 9,26671204 euros |
05/05/2019 | 9,36856299 euros |
04/05/2019 | 9,3688876 euros |
03/05/2019 | 9,36921222 euros |
02/05/2019 | 9,37227681 euros |
01/05/2019 | 9,51256929 euros |
30/04/2019 | 9,5128437 euros |
29/04/2019 | 9,47061733 euros |
28/04/2019 | 9,40049284 euros |
27/04/2019 | 9,40081753 euros |
26/04/2019 | 9,40082172 euros |
25/04/2019 | 9,3563849 euros |
24/04/2019 | 9,32599734 euros |
23/04/2019 | 9,38722772 euros |
22/04/2019 | 9,46291291 euros |
21/04/2019 | 9,46348075 euros |