Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
01/09/2020 | 7,82135143 euros |
31/08/2020 | 7,82797951 euros |
30/08/2020 | 7,98318981 euros |
29/08/2020 | 7,98346959 euros |
28/08/2020 | 7,98374936 euros |
27/08/2020 | 7,93091392 euros |
26/08/2020 | 7,98881135 euros |
25/08/2020 | 7,99128655 euros |
24/08/2020 | 8,01255512 euros |
23/08/2020 | 7,88967809 euros |
22/08/2020 | 7,88995482 euros |
21/08/2020 | 7,89023153 euros |
20/08/2020 | 7,91046741 euros |
19/08/2020 | 8,00829305 euros |
18/08/2020 | 7,97912067 euros |
17/08/2020 | 8,03289979 euros |
16/08/2020 | 8,08740943 euros |
15/08/2020 | 8,08769322 euros |
14/08/2020 | 8,08797701 euros |
13/08/2020 | 8,18577111 euros |
12/08/2020 | 8,22555097 euros |
11/08/2020 | 8,14572418 euros |
10/08/2020 | 7,99505638 euros |
09/08/2020 | 7,89561931 euros |
08/08/2020 | 7,89589862 euros |
07/08/2020 | 7,89617794 euros |
06/08/2020 | 7,90309672 euros |
05/08/2020 | 7,98497975 euros |
04/08/2020 | 7,97377077 euros |
03/08/2020 | 7,96850279 euros |
02/08/2020 | 7,85922647 euros |
01/08/2020 | 7,85950009 euros |
31/07/2020 | 7,85977372 euros |
30/07/2020 | 7,9547181 euros |
29/07/2020 | 8,17131262 euros |
28/07/2020 | 8,20788682 euros |
27/07/2020 | 8,13714439 euros |
26/07/2020 | 8,24212747 euros |
25/07/2020 | 8,24241654 euros |
24/07/2020 | 8,24270563 euros |
23/07/2020 | 8,32563099 euros |
22/07/2020 | 8,29993936 euros |
21/07/2020 | 8,39287856 euros |
20/07/2020 | 8,37916056 euros |
19/07/2020 | 8,34320947 euros |
18/07/2020 | 8,34349499 euros |
17/07/2020 | 8,34378054 euros |
16/07/2020 | 8,37195263 euros |
15/07/2020 | 8,37370133 euros |
14/07/2020 | 8,25755622 euros |