Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
17/09/2019 | 9,20380363 euros |
16/09/2019 | 9,24002432 euros |
15/09/2019 | 9,32903421 euros |
14/09/2019 | 9,32936925 euros |
13/09/2019 | 9,3297043 euros |
12/09/2019 | 9,30073073 euros |
11/09/2019 | 9,26652 euros |
10/09/2019 | 9,2865513 euros |
09/09/2019 | 9,29809051 euros |
08/09/2019 | 9,33953325 euros |
07/09/2019 | 9,33986814 euros |
06/09/2019 | 9,34020305 euros |
05/09/2019 | 9,32884944 euros |
04/09/2019 | 9,24195582 euros |
03/09/2019 | 9,1933463 euros |
02/09/2019 | 9,20297897 euros |
01/09/2019 | 9,19008458 euros |
31/08/2019 | 9,1904163 euros |
30/08/2019 | 9,19073393 euros |
29/08/2019 | 9,17029753 euros |
28/08/2019 | 9,12475533 euros |
27/08/2019 | 9,09947651 euros |
26/08/2019 | 9,05084469 euros |
25/08/2019 | 9,04394313 euros |
24/08/2019 | 9,04425592 euros |
23/08/2019 | 9,04456873 euros |
22/08/2019 | 9,0699621 euros |
21/08/2019 | 9,10050085 euros |
20/08/2019 | 8,99017249 euros |
19/08/2019 | 9,06895913 euros |
18/08/2019 | 8,97443157 euros |
17/08/2019 | 8,97474197 euros |
16/08/2019 | 8,97505237 euros |
15/08/2019 | 8,83200307 euros |
14/08/2019 | 8,858848 euros |
13/08/2019 | 9,00517287 euros |
12/08/2019 | 8,9989342 euros |
11/08/2019 | 9,06089119 euros |
10/08/2019 | 9,06120409 euros |
09/08/2019 | 9,06151701 euros |
08/08/2019 | 9,13898107 euros |
07/08/2019 | 8,99094916 euros |
06/08/2019 | 8,92473747 euros |
05/08/2019 | 8,98568839 euros |
04/08/2019 | 9,13062237 euros |
03/08/2019 | 9,13093742 euros |
02/08/2019 | 9,13125248 euros |
01/08/2019 | 9,32115762 euros |
31/07/2019 | 9,22649723 euros |
30/07/2019 | 9,25133414 euros |