Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA
Fecha |
Valor liquidativo |
---|---|
10/12/2020 | 9,71347329 euros |
09/12/2020 | 9,79835429 euros |
08/12/2020 | 9,78452351 euros |
07/12/2020 | 9,84503366 euros |
06/12/2020 | 9,92416642 euros |
05/12/2020 | 9,92451271 euros |
04/12/2020 | 9,92485902 euros |
03/12/2020 | 9,68278874 euros |
02/12/2020 | 9,64602772 euros |
01/12/2020 | 9,52902212 euros |
30/11/2020 | 9,36443177 euros |
29/11/2020 | 9,51551806 euros |
28/11/2020 | 9,51584262 euros |
27/11/2020 | 9,51616719 euros |
26/11/2020 | 9,41361343 euros |
25/11/2020 | 9,5186413 euros |
24/11/2020 | 9,48590665 euros |
23/11/2020 | 9,25457364 euros |
22/11/2020 | 9,20168713 euros |
21/11/2020 | 9,20200065 euros |
20/11/2020 | 9,20231416 euros |
19/11/2020 | 9,15372439 euros |
18/11/2020 | 9,2179191 euros |
17/11/2020 | 9,14319626 euros |
16/11/2020 | 9,20409924 euros |
15/11/2020 | 8,89669288 euros |
14/11/2020 | 8,89699604 euros |
13/11/2020 | 8,89729715 euros |
12/11/2020 | 8,81480326 euros |
11/11/2020 | 8,90327626 euros |
10/11/2020 | 8,7665429 euros |
09/11/2020 | 8,49784544 euros |
08/11/2020 | 7,8557165 euros |
07/11/2020 | 7,85598447 euros |
06/11/2020 | 7,85626178 euros |
05/11/2020 | 7,90076368 euros |
04/11/2020 | 7,74903236 euros |
03/11/2020 | 7,7078959 euros |
02/11/2020 | 7,54234196 euros |
01/11/2020 | 7,40049968 euros |
31/10/2020 | 7,40075242 euros |
30/10/2020 | 7,40100741 euros |
29/10/2020 | 7,31141246 euros |
28/10/2020 | 7,36418502 euros |
27/10/2020 | 7,56084803 euros |
26/10/2020 | 7,71333459 euros |
25/10/2020 | 7,80741643 euros |
24/10/2020 | 7,8076839 euros |
23/10/2020 | 7,80795138 euros |
22/10/2020 | 7,69531224 euros |