Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

10/06/2020 32,64096482 euros
09/06/2020 32,93064958 euros
08/06/2020 33,53330185 euros
07/06/2020 33,57627717 euros
06/06/2020 33,57847682 euros
05/06/2020 33,58067749 euros
04/06/2020 32,71975878 euros
03/06/2020 32,93482874 euros
02/06/2020 32,062 euros
01/06/2020 31,24990099 euros
31/05/2020 30,57796576 euros
30/05/2020 30,57999288 euros
29/05/2020 30,58202035 euros
28/05/2020 30,97980719 euros
27/05/2020 30,72695454 euros
26/05/2020 30,2408698 euros
25/05/2020 29,90159229 euros
24/05/2020 29,42486164 euros
23/05/2020 29,42682819 euros
22/05/2020 29,4287946 euros
21/05/2020 29,36531202 euros
20/05/2020 29,45869214 euros
19/05/2020 29,06739111 euros
18/05/2020 29,64904164 euros
17/05/2020 28,65771684 euros
16/05/2020 28,6596379 euros
15/05/2020 28,66155914 euros
14/05/2020 28,86164702 euros
13/05/2020 29,32427082 euros
12/05/2020 29,67988884 euros
11/05/2020 29,31572621 euros
10/05/2020 29,66587155 euros
09/05/2020 29,6678381 euros
08/05/2020 29,66980432 euros
07/05/2020 29,41533086 euros
06/05/2020 29,13243961 euros
05/05/2020 29,36845116 euros
04/05/2020 28,93796677 euros
03/05/2020 29,90413023 euros
02/05/2020 29,90614002 euros
01/05/2020 29,90814994 euros
30/04/2020 29,91021852 euros
29/04/2020 30,43197581 euros
28/04/2020 29,55149669 euros
27/04/2020 29,21206569 euros
26/04/2020 28,78014547 euros
25/04/2020 28,78208215 euros
24/04/2020 28,78401902 euros
23/04/2020 29,26782568 euros
22/04/2020 29,23524835 euros