Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

07/05/2019 36,66380291 euros
06/05/2019 36,97131858 euros
05/05/2019 37,37882106 euros
04/05/2019 37,3812649 euros
03/05/2019 37,38370789 euros
02/05/2019 37,397084 euros
01/05/2019 37,95804289 euros
30/04/2019 37,96031184 euros
29/04/2019 37,79297201 euros
28/04/2019 37,51428954 euros
27/04/2019 37,51673815 euros
26/04/2019 37,51790699 euros
25/04/2019 37,34171055 euros
24/04/2019 37,22157563 euros
23/04/2019 37,46710652 euros
22/04/2019 37,77034843 euros
21/04/2019 37,7737757 euros
20/04/2019 37,77623994 euros
19/04/2019 37,77870432 euros
18/04/2019 37,78116848 euros
17/04/2019 37,62283411 euros
16/04/2019 37,38194354 euros
15/04/2019 37,33656786 euros
14/04/2019 37,12149375 euros
13/04/2019 37,12391154 euros
12/04/2019 37,12632909 euros
11/04/2019 36,95690333 euros
10/04/2019 36,74151369 euros
09/04/2019 36,80020274 euros
08/04/2019 36,84317585 euros
07/04/2019 37,25632253 euros
06/04/2019 37,25875178 euros
05/04/2019 37,26118066 euros
04/04/2019 37,32087328 euros
03/04/2019 37,21935857 euros
02/04/2019 36,78214481 euros
01/04/2019 36,64903585 euros
31/03/2019 36,29684976 euros
30/03/2019 36,29922889 euros
29/03/2019 36,30160808 euros
28/03/2019 36,04543384 euros
27/03/2019 36,15197571 euros
26/03/2019 36,05684956 euros
25/03/2019 35,88134107 euros
24/03/2019 35,92123453 euros
23/03/2019 35,92360142 euros
22/03/2019 35,92596827 euros
21/03/2019 36,43440283 euros
20/03/2019 36,60893869 euros
19/03/2019 36,92668066 euros