Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

26/05/2021 44,30581275 euros
25/05/2021 44,32581857 euros
24/05/2021 44,31142221 euros
23/05/2021 44,33127254 euros
22/05/2021 44,33418496 euros
21/05/2021 44,33709711 euros
20/05/2021 43,83074303 euros
19/05/2021 43,61659966 euros
18/05/2021 44,25785582 euros
17/05/2021 44,08346946 euros
16/05/2021 44,04409531 euros
15/05/2021 44,0469804 euros
14/05/2021 44,04986605 euros
13/05/2021 43,19685732 euros
12/05/2021 43,42013357 euros
11/05/2021 43,26931401 euros
10/05/2021 44,02202879 euros
09/05/2021 43,58456229 euros
08/05/2021 43,58741302 euros
07/05/2021 43,59026342 euros
06/05/2021 43,1913854 euros
05/05/2021 43,10182979 euros
04/05/2021 42,44336289 euros
03/05/2021 42,82651704 euros
02/05/2021 42,45010025 euros
01/05/2021 42,45289184 euros
30/04/2021 42,4556831 euros
29/04/2021 42,45567918 euros
28/04/2021 42,26651082 euros
27/04/2021 42,06221732 euros
26/04/2021 41,84826505 euros
25/04/2021 41,48991166 euros
24/04/2021 41,49267509 euros
23/04/2021 41,49543859 euros
22/04/2021 41,63990022 euros
21/04/2021 41,03778791 euros
20/04/2021 40,82814829 euros
19/04/2021 41,98428263 euros
18/04/2021 41,70921828 euros
17/04/2021 41,71197456 euros
16/04/2021 41,71473084 euros
15/04/2021 41,39938263 euros
14/04/2021 41,59907956 euros
13/04/2021 41,25644816 euros
12/04/2021 41,39470241 euros
11/04/2021 41,48128505 euros
10/04/2021 41,48399239 euros
09/04/2021 41,48669991 euros
08/04/2021 41,82456306 euros
07/04/2021 41,67886181 euros