Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

03/09/2021 43,20914716 euros
02/09/2021 43,65850605 euros
01/09/2021 43,72369106 euros
31/08/2021 43,04399996 euros
30/08/2021 43,0232486 euros
29/08/2021 43,461553 euros
28/08/2021 43,46446715 euros
27/08/2021 43,46738163 euros
26/08/2021 43,32273786 euros
25/08/2021 43,82982859 euros
24/08/2021 43,61932542 euros
23/08/2021 43,83432709 euros
22/08/2021 43,60739192 euros
21/08/2021 43,61031282 euros
20/08/2021 43,61323428 euros
19/08/2021 43,61057744 euros
18/08/2021 44,00672004 euros
17/08/2021 43,4482713 euros
16/08/2021 43,75235232 euros
15/08/2021 44,00652738 euros
14/08/2021 44,00947769 euros
13/08/2021 44,01242815 euros
12/08/2021 44,0017627 euros
11/08/2021 43,98259412 euros
10/08/2021 43,58257497 euros
09/08/2021 43,38144312 euros
08/08/2021 43,35755923 euros
07/08/2021 43,36047462 euros
06/08/2021 43,36339016 euros
05/08/2021 43,08433843 euros
04/08/2021 42,93595385 euros
03/08/2021 42,68354458 euros
02/08/2021 42,54958968 euros
01/08/2021 42,21834324 euros
31/07/2021 42,22117176 euros
30/07/2021 42,22400006 euros
29/07/2021 42,65432999 euros
28/07/2021 42,51512731 euros
27/07/2021 42,45532305 euros
26/07/2021 42,78790159 euros
25/07/2021 42,53650174 euros
24/07/2021 42,53933809 euros
23/07/2021 42,5421745 euros
22/07/2021 41,99591663 euros
21/07/2021 41,78954431 euros
20/07/2021 40,82029581 euros
19/07/2021 40,47229793 euros
18/07/2021 41,58610915 euros
17/07/2021 41,58882975 euros
16/07/2021 41,59155037 euros