Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA

Fecha

Valor liquidativo

02/08/2022 9,92012858 euros
01/08/2022 9,90322844 euros
31/07/2022 9,97854225 euros
30/07/2022 9,9789083 euros
29/07/2022 9,97927421 euros
28/07/2022 9,91506867 euros
27/07/2022 9,94445087 euros
26/07/2022 9,88817471 euros
25/07/2022 9,87859504 euros
24/07/2022 9,84226955 euros
23/07/2022 9,84263339 euros
22/07/2022 9,84299723 euros
21/07/2022 9,7663628 euros
20/07/2022 9,79657212 euros
19/07/2022 9,91586973 euros
18/07/2022 9,76409993 euros
17/07/2022 9,76780784 euros
16/07/2022 9,76817182 euros
15/07/2022 9,76853563 euros
14/07/2022 9,63055033 euros
13/07/2022 9,79259378 euros
12/07/2022 9,87161448 euros
11/07/2022 9,91877162 euros
10/07/2022 9,93890196 euros
09/07/2022 9,93927702 euros
08/07/2022 9,93965202 euros
07/07/2022 9,93146541 euros
06/07/2022 9,73558474 euros
05/07/2022 9,74908614 euros
04/07/2022 9,92680709 euros
03/07/2022 9,93266166 euros
02/07/2022 9,93302831 euros
01/07/2022 9,93339496 euros
30/06/2022 9,82560521 euros
29/06/2022 9,93638962 euros
28/06/2022 10,02838782 euros
27/06/2022 9,92329742 euros
26/06/2022 9,93201792 euros
25/06/2022 9,93239161 euros
24/06/2022 9,9327653 euros
23/06/2022 9,77035455 euros
22/06/2022 9,78023289 euros
21/06/2022 9,87320489 euros
20/06/2022 9,94196916 euros
19/06/2022 9,76967765 euros
18/06/2022 9,7700534 euros
17/06/2022 9,77042917 euros
16/06/2022 9,69498938 euros
15/06/2022 9,79937083 euros
14/06/2022 9,68181786 euros