Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE INSTITUCIONAL PLUS

Fecha

Valor liquidativo

29/04/2020 32,43356668 euros
28/04/2020 31,70304485 euros
27/04/2020 31,16268412 euros
26/04/2020 30,37853451 euros
25/04/2020 30,37865963 euros
24/04/2020 30,37878476 euros
23/04/2020 30,84662036 euros
22/04/2020 30,65332782 euros
21/04/2020 30,18181057 euros
20/04/2020 31,44898928 euros
19/04/2020 31,21539708 euros
18/04/2020 31,21552497 euros
17/04/2020 31,21565286 euros
16/04/2020 30,40738007 euros
15/04/2020 30,35646376 euros
14/04/2020 31,5443795 euros
13/04/2020 31,2663757 euros
12/04/2020 31,26650412 euros
11/04/2020 31,26663253 euros
10/04/2020 31,26676094 euros
09/04/2020 31,26688936 euros
08/04/2020 30,8177031 euros
07/04/2020 30,89060924 euros
06/04/2020 30,21450317 euros
05/04/2020 28,77844933 euros
04/04/2020 28,77856735 euros
03/04/2020 28,77868537 euros
02/04/2020 29,04948115 euros
01/04/2020 28,95628382 euros
31/03/2020 30,11276062 euros
30/03/2020 29,8741024 euros
29/03/2020 29,43504479 euros
28/03/2020 29,43516558 euros
27/03/2020 29,43528637 euros
26/03/2020 30,72057064 euros
25/03/2020 30,20609955 euros
24/03/2020 29,28446653 euros
23/03/2020 26,8051828 euros
22/03/2020 27,48145889 euros
21/03/2020 27,48157057 euros
20/03/2020 27,48168224 euros
19/03/2020 26,47270586 euros
18/03/2020 25,73614094 euros
17/03/2020 27,29197129 euros
16/03/2020 26,42911576 euros
15/03/2020 27,88664983 euros
14/03/2020 27,88676544 euros
13/03/2020 27,88688106 euros
12/03/2020 27,47010932 euros
11/03/2020 31,33222707 euros