Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

15/05/2020 27,13982374 euros
14/05/2020 27,02618482 euros
13/05/2020 27,5142475 euros
12/05/2020 28,24000796 euros
11/05/2020 28,23351187 euros
10/05/2020 28,45566235 euros
09/05/2020 28,45651635 euros
08/05/2020 28,45736916 euros
07/05/2020 28,18737774 euros
06/05/2020 27,78190256 euros
05/05/2020 28,09630328 euros
04/05/2020 27,48968737 euros
03/05/2020 28,52465857 euros
02/05/2020 28,52551395 euros
01/05/2020 28,52636935 euros
30/04/2020 28,52722399 euros
29/04/2020 29,18129692 euros
28/04/2020 28,52476219 euros
27/04/2020 28,03929535 euros
26/04/2020 27,3344434 euros
25/04/2020 27,33525952 euros
24/04/2020 27,33607566 euros
23/04/2020 27,75776752 euros
22/04/2020 27,58454079 euros
21/04/2020 27,16092736 euros
20/04/2020 28,30200301 euros
19/04/2020 28,09250855 euros
18/04/2020 28,09334671 euros
17/04/2020 28,09418504 euros
16/04/2020 27,36744152 euros
15/04/2020 27,32231869 euros
14/04/2020 28,39219557 euros
13/04/2020 28,14265816 euros
12/04/2020 28,14345964 euros
11/04/2020 28,14426114 euros
10/04/2020 28,14506266 euros
09/04/2020 28,14586464 euros
08/04/2020 27,74219218 euros
07/04/2020 27,8085007 euros
06/04/2020 27,200516 euros
05/04/2020 25,90834425 euros
04/04/2020 25,90908195 euros
03/04/2020 25,9098201 euros
02/04/2020 26,15425892 euros
01/04/2020 26,0709858 euros
31/03/2020 27,11288882 euros
30/03/2020 26,89866187 euros
29/03/2020 26,50398005 euros
28/03/2020 26,50473476 euros
27/03/2020 26,50548946 euros