Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
29/07/2019 | 9,4966254 euros |
28/07/2019 | 9,51497137 euros |
27/07/2019 | 9,51530169 euros |
26/07/2019 | 9,51562936 euros |
25/07/2019 | 9,50232142 euros |
24/07/2019 | 9,51427236 euros |
23/07/2019 | 9,47471317 euros |
22/07/2019 | 9,3709258 euros |
21/07/2019 | 9,36271775 euros |
20/07/2019 | 9,36304436 euros |
19/07/2019 | 9,36337098 euros |
18/07/2019 | 9,39043733 euros |
17/07/2019 | 9,47146058 euros |
16/07/2019 | 9,5671305 euros |
15/07/2019 | 9,49296488 euros |
14/07/2019 | 9,45043457 euros |
13/07/2019 | 9,45076255 euros |
12/07/2019 | 9,45109054 euros |
11/07/2019 | 9,41627086 euros |
10/07/2019 | 9,35878126 euros |
09/07/2019 | 9,36113662 euros |
08/07/2019 | 9,38586372 euros |
07/07/2019 | 9,41524532 euros |
06/07/2019 | 9,41557342 euros |
05/07/2019 | 9,41590153 euros |
04/07/2019 | 9,43322095 euros |
03/07/2019 | 9,40424822 euros |
02/07/2019 | 9,26674803 euros |
01/07/2019 | 9,25673289 euros |
30/06/2019 | 9,18844977 euros |
29/06/2019 | 9,18876817 euros |
28/06/2019 | 9,18908659 euros |
27/06/2019 | 9,09082362 euros |
26/06/2019 | 9,07183425 euros |
25/06/2019 | 9,12488495 euros |
24/06/2019 | 9,13765862 euros |
23/06/2019 | 9,13842851 euros |
22/06/2019 | 9,13874324 euros |
21/06/2019 | 9,1390563 euros |
20/06/2019 | 9,11738218 euros |
19/06/2019 | 9,15049345 euros |
18/06/2019 | 9,14888784 euros |
17/06/2019 | 9,04052366 euros |
16/06/2019 | 9,08422667 euros |
15/06/2019 | 9,08453814 euros |
14/06/2019 | 9,08484961 euros |
13/06/2019 | 9,12685092 euros |
12/06/2019 | 9,11413669 euros |
11/06/2019 | 9,14685934 euros |
10/06/2019 | 9,12228343 euros |