Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

25/08/2022 7,77770591 euros
24/08/2022 7,7903706 euros
23/08/2022 7,81500371 euros
22/08/2022 7,87069792 euros
21/08/2022 7,92163736 euros
20/08/2022 7,92186089 euros
19/08/2022 7,92208441 euros
18/08/2022 8,01043611 euros
17/08/2022 8,01506055 euros
16/08/2022 8,08879112 euros
15/08/2022 8,00696558 euros
14/08/2022 7,98279744 euros
13/08/2022 7,98302269 euros
12/08/2022 7,98324783 euros
11/08/2022 7,96349157 euros
10/08/2022 7,93771296 euros
09/08/2022 7,89930301 euros
08/08/2022 7,86193684 euros
07/08/2022 7,76202252 euros
06/08/2022 7,76224158 euros
05/08/2022 7,76246064 euros
04/08/2022 7,75623164 euros
03/08/2022 7,73957982 euros
02/08/2022 7,69672429 euros
01/08/2022 7,68484676 euros
31/07/2022 7,75281097 euros
30/07/2022 7,75303388 euros
29/07/2022 7,7532566 euros
28/07/2022 7,68545088 euros
27/07/2022 7,72312747 euros
26/07/2022 7,67068366 euros
25/07/2022 7,68576308 euros
24/07/2022 7,65375289 euros
23/07/2022 7,65397374 euros
22/07/2022 7,65419459 euros
21/07/2022 7,61414994 euros
20/07/2022 7,63085295 euros
19/07/2022 7,72308039 euros
18/07/2022 7,56844018 euros
17/07/2022 7,5546355 euros
16/07/2022 7,55485434 euros
15/07/2022 7,55507321 euros
14/07/2022 7,4205514 euros
13/07/2022 7,55496061 euros
12/07/2022 7,62116981 euros
11/07/2022 7,66933685 euros
10/07/2022 7,70210078 euros
09/07/2022 7,70232319 euros
08/07/2022 7,70157283 euros
07/07/2022 7,69156792 euros