Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

15/07/2021 41,866349 euros
14/07/2021 42,37759241 euros
13/07/2021 42,44420341 euros
12/07/2021 43,05196566 euros
11/07/2021 42,80206233 euros
10/07/2021 42,80485526 euros
09/07/2021 42,80764833 euros
08/07/2021 42,10678986 euros
07/07/2021 43,01723361 euros
06/07/2021 43,01446368 euros
05/07/2021 43,50642474 euros
04/07/2021 43,16590087 euros
03/07/2021 43,16873317 euros
02/07/2021 43,17156566 euros
01/07/2021 43,37580012 euros
30/06/2021 42,67741542 euros
29/06/2021 43,13517722 euros
28/06/2021 43,05187514 euros
27/06/2021 43,95542236 euros
26/06/2021 43,95833443 euros
25/06/2021 43,96124726 euros
24/06/2021 43,84822234 euros
23/06/2021 43,25202481 euros
22/06/2021 43,58076982 euros
21/06/2021 43,53001988 euros
20/06/2021 43,40203905 euros
19/06/2021 43,4049072 euros
18/06/2021 43,4077758 euros
17/06/2021 44,38245848 euros
16/06/2021 44,41613667 euros
15/06/2021 44,71380291 euros
14/06/2021 44,98289999 euros
13/06/2021 44,59853343 euros
12/06/2021 44,6014828 euros
11/06/2021 44,60443276 euros
10/06/2021 44,40638119 euros
09/06/2021 44,51742688 euros
08/06/2021 44,62755422 euros
07/06/2021 44,71110346 euros
06/06/2021 44,27592981 euros
05/06/2021 44,27885216 euros
04/06/2021 44,28177419 euros
03/06/2021 44,54105195 euros
02/06/2021 44,7055447 euros
01/06/2021 44,67887233 euros
31/05/2021 44,27782813 euros
30/05/2021 44,49696426 euros
29/05/2021 44,49991806 euros
28/05/2021 44,50287267 euros
27/05/2021 44,31782278 euros