Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

15/02/2021 39,36759792 euros
14/02/2021 38,60285069 euros
13/02/2021 38,60540206 euros
12/02/2021 38,60795351 euros
11/02/2021 38,61115275 euros
10/02/2021 38,65568615 euros
09/02/2021 38,73671726 euros
08/02/2021 39,34285171 euros
07/02/2021 39,0850621 euros
06/02/2021 39,08768322 euros
05/02/2021 39,09030367 euros
04/02/2021 38,67080997 euros
03/02/2021 38,15817504 euros
02/02/2021 37,74027261 euros
01/02/2021 37,05669965 euros
31/01/2021 36,97945596 euros
30/01/2021 36,98198261 euros
29/01/2021 36,98450922 euros
28/01/2021 37,76476859 euros
27/01/2021 37,33430579 euros
26/01/2021 38,23191905 euros
25/01/2021 37,94975879 euros
24/01/2021 38,59656691 euros
23/01/2021 38,59916681 euros
22/01/2021 38,60176703 euros
21/01/2021 39,0490821 euros
20/01/2021 39,27315177 euros
19/01/2021 39,16920705 euros
18/01/2021 39,49252854 euros
17/01/2021 39,20431397 euros
16/01/2021 39,20691233 euros
15/01/2021 39,20951077 euros
14/01/2021 39,95961427 euros
13/01/2021 39,92340908 euros
12/01/2021 39,90202748 euros
11/01/2021 39,84418286 euros
10/01/2021 40,12012208 euros
09/01/2021 40,12275093 euros
08/01/2021 40,1253799 euros
07/01/2021 40,16566275 euros
06/01/2021 39,75156625 euros
05/01/2021 38,50355841 euros
04/01/2021 38,42877438 euros
03/01/2021 38,19022069 euros
02/01/2021 38,19274278 euros
01/01/2021 38,19526502 euros
31/12/2020 38,19778739 euros
30/12/2020 38,58828011 euros
29/12/2020 38,63161217 euros
28/12/2020 38,55215772 euros