Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
06/11/2019 | 9,74511854 euros |
05/11/2019 | 9,77241258 euros |
04/11/2019 | 9,75674091 euros |
03/11/2019 | 9,62524961 euros |
02/11/2019 | 9,62558911 euros |
01/11/2019 | 9,6259286 euros |
31/10/2019 | 9,5116735 euros |
30/10/2019 | 9,58501627 euros |
29/10/2019 | 9,6599803 euros |
28/10/2019 | 9,67963233 euros |
27/10/2019 | 9,65961367 euros |
26/10/2019 | 9,65995388 euros |
25/10/2019 | 9,66029409 euros |
24/10/2019 | 9,6119837 euros |
23/10/2019 | 9,58198122 euros |
22/10/2019 | 9,58419224 euros |
21/10/2019 | 9,62046748 euros |
20/10/2019 | 9,52010872 euros |
19/10/2019 | 9,52044323 euros |
18/10/2019 | 9,52077776 euros |
17/10/2019 | 9,53979092 euros |
16/10/2019 | 9,57048192 euros |
15/10/2019 | 9,53806122 euros |
14/10/2019 | 9,39889574 euros |
13/10/2019 | 9,41965033 euros |
12/10/2019 | 9,41998862 euros |
11/10/2019 | 9,4203269 euros |
10/10/2019 | 9,22168245 euros |
09/10/2019 | 9,11023839 euros |
08/10/2019 | 9,0443886 euros |
07/10/2019 | 9,14783268 euros |
06/10/2019 | 9,06332238 euros |
05/10/2019 | 9,06365065 euros |
04/10/2019 | 9,0639789 euros |
03/10/2019 | 8,99034333 euros |
02/10/2019 | 9,00926998 euros |
01/10/2019 | 9,27042861 euros |
30/09/2019 | 9,36171347 euros |
29/09/2019 | 9,30995608 euros |
28/09/2019 | 9,31029615 euros |
27/09/2019 | 9,31063622 euros |
26/09/2019 | 9,26070319 euros |
25/09/2019 | 9,22141517 euros |
24/09/2019 | 9,28152847 euros |
23/09/2019 | 9,25234433 euros |
22/09/2019 | 9,33188872 euros |
21/09/2019 | 9,33222894 euros |
20/09/2019 | 9,33256603 euros |
19/09/2019 | 9,31104238 euros |
18/09/2019 | 9,22370745 euros |