Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA

Fecha

Valor liquidativo

11/10/2022 8,96351393 euros
10/10/2022 9,03894332 euros
09/10/2022 9,09267013 euros
08/10/2022 9,09299717 euros
07/10/2022 9,09332422 euros
06/10/2022 9,15816873 euros
05/10/2022 9,24225299 euros
04/10/2022 9,36569525 euros
03/10/2022 9,11923214 euros
02/10/2022 8,9864324 euros
01/10/2022 8,98675526 euros
30/09/2022 8,98707822 euros
29/09/2022 8,93685581 euros
28/09/2022 9,10099146 euros
27/09/2022 9,09734476 euros
26/09/2022 9,18771633 euros
25/09/2022 9,29706576 euros
24/09/2022 9,29740524 euros
23/09/2022 9,29774568 euros
22/09/2022 9,51556338 euros
21/09/2022 9,60977405 euros
20/09/2022 9,61631507 euros
19/09/2022 9,76033498 euros
18/09/2022 9,75816517 euros
17/09/2022 9,75852141 euros
16/09/2022 9,75887767 euros
15/09/2022 9,85167115 euros
14/09/2022 9,82567516 euros
13/09/2022 9,84906571 euros
12/09/2022 9,98424431 euros
11/09/2022 9,80264525 euros
10/09/2022 9,80300329 euros
09/09/2022 9,80336135 euros
08/09/2022 9,69231736 euros
07/09/2022 9,62470672 euros
06/09/2022 9,60027535 euros
05/09/2022 9,64184401 euros
04/09/2022 9,71072474 euros
03/09/2022 9,71108127 euros
02/09/2022 9,71143683 euros
01/09/2022 9,57700339 euros
31/08/2022 9,64591876 euros
30/08/2022 9,76976012 euros
29/08/2022 9,79685229 euros
28/08/2022 9,90012188 euros
27/08/2022 9,90048524 euros
26/08/2022 9,90084858 euros
25/08/2022 10,0438833 euros
24/08/2022 10,04067462 euros
23/08/2022 10,07293025 euros