Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION GLOBAL, FI CLASE ESTANDAR

Fecha

Valor liquidativo

10/03/2021 13,98583879 euros
09/03/2021 13,90338539 euros
08/03/2021 13,81524513 euros
07/03/2021 13,77282634 euros
06/03/2021 13,77366687 euros
05/03/2021 13,77450744 euros
04/03/2021 13,605 euros
03/03/2021 13,729 euros
02/03/2021 13,77 euros
01/03/2021 13,842 euros
28/02/2021 13,56108735 euros
27/02/2021 13,56191746 euros
26/02/2021 13,56274764 euros
25/02/2021 13,669 euros
24/02/2021 13,833 euros
23/02/2021 13,783 euros
22/02/2021 13,827 euros
21/02/2021 13,96 euros
20/02/2021 13,96 euros
19/02/2021 13,96 euros
18/02/2021 13,98123738 euros
17/02/2021 14,134 euros
16/02/2021 14,101 euros
15/02/2021 14,057 euros
14/02/2021 14,033 euros
13/02/2021 14,033 euros
12/02/2021 14,033 euros
11/02/2021 13,965 euros
10/02/2021 13,946 euros
09/02/2021 13,92 euros
08/02/2021 13,958 euros
07/02/2021 13,858 euros
06/02/2021 13,858 euros
05/02/2021 13,858 euros
04/02/2021 13,837 euros
03/02/2021 13,708 euros
02/02/2021 13,662 euros
01/02/2021 13,443 euros
31/01/2021 13,176 euros
30/01/2021 13,176 euros
29/01/2021 13,176 euros
28/01/2021 13,354 euros
27/01/2021 13,342 euros
26/01/2021 13,55036127 euros
25/01/2021 13,66106181 euros
24/01/2021 13,61923269 euros
23/01/2021 13,62007018 euros
22/01/2021 13,62090766 euros
21/01/2021 13,711 euros
20/01/2021 13,75578567 euros