Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
13/07/2020 | 8,31606227 euros |
12/07/2020 | 8,22471918 euros |
11/07/2020 | 8,22500335 euros |
10/07/2020 | 8,22528756 euros |
09/07/2020 | 8,13799753 euros |
08/07/2020 | 8,24038898 euros |
07/07/2020 | 8,32265616 euros |
06/07/2020 | 8,40704066 euros |
05/07/2020 | 8,2339298 euros |
04/07/2020 | 8,23421202 euros |
03/07/2020 | 8,23449425 euros |
02/07/2020 | 8,31790096 euros |
01/07/2020 | 8,03354197 euros |
30/06/2020 | 8,0361237 euros |
29/06/2020 | 8,04554065 euros |
28/06/2020 | 7,91216312 euros |
27/06/2020 | 7,91243766 euros |
26/06/2020 | 7,91271218 euros |
25/06/2020 | 8,01070428 euros |
24/06/2020 | 7,92552127 euros |
23/06/2020 | 8,18135105 euros |
22/06/2020 | 8,0585676 euros |
21/06/2020 | 8,12878512 euros |
20/06/2020 | 8,12906403 euros |
19/06/2020 | 8,12934296 euros |
18/06/2020 | 8,09613557 euros |
17/06/2020 | 8,17568003 euros |
16/06/2020 | 8,16683658 euros |
15/06/2020 | 7,91536737 euros |
14/06/2020 | 7,93865949 euros |
13/06/2020 | 7,93893441 euros |
12/06/2020 | 7,93920935 euros |
11/06/2020 | 7,93179742 euros |
10/06/2020 | 8,28276569 euros |
09/06/2020 | 8,35601803 euros |
08/06/2020 | 8,50867666 euros |
07/06/2020 | 8,51931927 euros |
06/06/2020 | 8,51961549 euros |
05/06/2020 | 8,51991171 euros |
04/06/2020 | 8,30122876 euros |
03/06/2020 | 8,3555362 euros |
02/06/2020 | 8,13389599 euros |
01/06/2020 | 7,92758435 euros |
31/05/2020 | 7,75688702 euros |
30/05/2020 | 7,75716282 euros |
29/05/2020 | 7,75743862 euros |
28/05/2020 | 7,85809979 euros |
27/05/2020 | 7,79372379 euros |
26/05/2020 | 7,67019517 euros |
25/05/2020 | 7,58390889 euros |