Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

07/11/2020 30,81664913 euros
06/11/2020 30,81864659 euros
05/11/2020 30,99417107 euros
04/11/2020 30,39987274 euros
03/11/2020 30,23942104 euros
02/11/2020 29,59083275 euros
01/11/2020 29,03523621 euros
31/10/2020 29,03712036 euros
30/10/2020 29,03901305 euros
29/10/2020 28,68835578 euros
28/10/2020 28,89631154 euros
27/10/2020 29,66890923 euros
26/10/2020 30,26819912 euros
25/10/2020 30,63833108 euros
24/10/2020 30,64032256 euros
23/10/2020 30,64231349 euros
22/10/2020 30,20118948 euros
21/10/2020 30,19396443 euros
20/10/2020 30,67613096 euros
19/10/2020 30,38598223 euros
18/10/2020 30,33547511 euros
17/10/2020 30,33744863 euros
16/10/2020 30,33942226 euros
15/10/2020 30,04563858 euros
14/10/2020 30,62480899 euros
13/10/2020 30,43307374 euros
12/10/2020 30,72631441 euros
11/10/2020 30,68291615 euros
10/10/2020 30,68490888 euros
09/10/2020 30,6869016 euros
08/10/2020 30,92954824 euros
07/10/2020 30,58269672 euros
06/10/2020 30,65133921 euros
05/10/2020 30,38776935 euros
04/10/2020 30,10750948 euros
03/10/2020 30,1094564 euros
02/10/2020 30,11140313 euros
01/10/2020 30,15297616 euros
30/09/2020 29,90518109 euros
29/09/2020 29,94233635 euros
28/09/2020 30,23448611 euros
27/09/2020 29,64112968 euros
26/09/2020 29,64305944 euros
25/09/2020 29,64498909 euros
24/09/2020 29,63529536 euros
23/09/2020 29,67804745 euros
22/09/2020 29,62278332 euros
21/09/2020 29,71640233 euros
20/09/2020 30,65416941 euros
19/09/2020 30,65618323 euros