Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE INSTITUCIONAL PLUS

Fecha

Valor liquidativo

15/11/2020 37,80068333 euros
14/11/2020 37,80082485 euros
13/11/2020 37,80096636 euros
12/11/2020 37,75380649 euros
11/11/2020 38,17784726 euros
10/11/2020 37,90765701 euros
09/11/2020 37,52433937 euros
08/11/2020 35,27564997 euros
07/11/2020 35,27578216 euros
06/11/2020 35,27591436 euros
05/11/2020 35,4040915 euros
04/11/2020 34,79817172 euros
03/11/2020 34,12171644 euros
02/11/2020 33,25061107 euros
01/11/2020 32,56950061 euros
31/10/2020 32,5696225 euros
30/10/2020 32,56974571 euros
29/10/2020 32,58356134 euros
28/10/2020 32,60711196 euros
27/10/2020 33,79182069 euros
26/10/2020 34,17263688 euros
25/10/2020 35,20245 euros
24/10/2020 35,20258353 euros
23/10/2020 35,20271705 euros
22/10/2020 34,90338975 euros
21/10/2020 35,00560738 euros
20/10/2020 35,52694472 euros
19/10/2020 35,68547647 euros
18/10/2020 35,72023705 euros
17/10/2020 35,72037075 euros
16/10/2020 35,72050445 euros
15/10/2020 35,13885921 euros
14/10/2020 36,0272719 euros
13/10/2020 36,08869217 euros
12/10/2020 36,29682913 euros
11/10/2020 36,01940938 euros
10/10/2020 36,01954416 euros
09/10/2020 36,01967895 euros
08/10/2020 35,83104423 euros
07/10/2020 35,58630211 euros
06/10/2020 35,58683558 euros
05/10/2020 35,44628476 euros
04/10/2020 35,12604906 euros
03/10/2020 35,12618067 euros
02/10/2020 35,12631228 euros
01/10/2020 35,16044247 euros
30/09/2020 35,15185335 euros
29/09/2020 35,37030531 euros
28/09/2020 35,46631037 euros
27/09/2020 34,51395741 euros