Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

21/04/2020 28,84925583 euros
20/04/2020 29,37432406 euros
19/04/2020 29,53387902 euros
18/04/2020 29,53588947 euros
17/04/2020 29,53789977 euros
16/04/2020 29,29014411 euros
15/04/2020 29,50070141 euros
14/04/2020 30,3381328 euros
13/04/2020 30,20606183 euros
12/04/2020 30,20805124 euros
11/04/2020 30,2100835 euros
10/04/2020 30,21211588 euros
09/04/2020 30,21414838 euros
08/04/2020 29,60144521 euros
07/04/2020 29,77768161 euros
06/04/2020 29,18537641 euros
05/04/2020 28,37904141 euros
04/04/2020 28,38095053 euros
03/04/2020 28,38285975 euros
02/04/2020 28,18705843 euros
01/04/2020 28,24312287 euros
31/03/2020 29,00323851 euros
30/03/2020 28,51934078 euros
29/03/2020 29,07534312 euros
28/03/2020 29,07732323 euros
27/03/2020 29,07930269 euros
26/03/2020 30,12377276 euros
25/03/2020 29,64710039 euros
24/03/2020 28,48292347 euros
23/03/2020 26,30767187 euros
22/03/2020 27,10864507 euros
21/03/2020 27,11050154 euros
20/03/2020 27,11235733 euros
19/03/2020 27,05480139 euros
18/03/2020 26,85077421 euros
17/03/2020 27,99301344 euros
16/03/2020 26,78178192 euros
15/03/2020 28,76921486 euros
14/03/2020 28,77114747 euros
13/03/2020 28,77308076 euros
12/03/2020 27,80909099 euros
11/03/2020 32,16912722 euros
10/03/2020 32,58551683 euros
09/03/2020 33,62362026 euros
08/03/2020 36,2008595 euros
07/03/2020 36,20328689 euros
06/03/2020 36,20571484 euros
05/03/2020 37,49743335 euros
04/03/2020 38,21658323 euros
03/03/2020 37,56028383 euros