Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE EURO, FI CLASE ESTANDAR

Fecha

Valor liquidativo

08/08/2021 41,56006491 euros
07/08/2021 41,5612982 euros
06/08/2021 41,56253146 euros
05/08/2021 41,42982079 euros
04/08/2021 41,26989167 euros
03/08/2021 41,00561025 euros
02/08/2021 40,98769721 euros
01/08/2021 40,7192846 euros
31/07/2021 40,72049321 euros
30/07/2021 40,72170179 euros
29/07/2021 40,99472985 euros
28/07/2021 40,85869947 euros
27/07/2021 40,48248892 euros
26/07/2021 40,85545652 euros
25/07/2021 40,92487856 euros
24/07/2021 40,92609044 euros
23/07/2021 40,9273022 euros
22/07/2021 40,42063964 euros
21/07/2021 40,10050378 euros
20/07/2021 39,40420768 euros
19/07/2021 39,12742547 euros
18/07/2021 40,17298683 euros
17/07/2021 40,1741763 euros
16/07/2021 40,17536582 euros
15/07/2021 40,38242407 euros
14/07/2021 40,81166647 euros
13/07/2021 40,76197822 euros
12/07/2021 40,7546178 euros
11/07/2021 40,50875159 euros
10/07/2021 40,50995114 euros
09/07/2021 40,50277622 euros
08/07/2021 39,74703314 euros
07/07/2021 40,58984034 euros
06/07/2021 40,32878986 euros
05/07/2021 40,67743211 euros
04/07/2021 40,64620677 euros
03/07/2021 40,64741161 euros
02/07/2021 40,64861647 euros
01/07/2021 40,59671332 euros
30/06/2021 40,45567403 euros
29/06/2021 40,88494886 euros
28/06/2021 40,70995546 euros
27/06/2021 41,01612342 euros
26/06/2021 41,01733936 euros
25/06/2021 41,01855477 euros
24/06/2021 41,03601365 euros
23/06/2021 40,55618507 euros
22/06/2021 41,01806783 euros
21/06/2021 40,90938232 euros
20/06/2021 40,62258469 euros