Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

16/01/2023 41,54543561 euros
15/01/2023 41,6572106 euros
14/01/2023 41,65981954 euros
13/01/2023 41,66243973 euros
12/01/2023 41,51394211 euros
11/01/2023 41,05805592 euros
10/01/2023 41,09419546 euros
09/01/2023 40,96962408 euros
08/01/2023 41,06584479 euros
07/01/2023 41,0683962 euros
06/01/2023 41,07094775 euros
05/01/2023 40,57189193 euros
04/01/2023 40,43252947 euros
03/01/2023 39,60748732 euros
02/01/2023 39,44862271 euros
01/01/2023 38,78230129 euros
31/12/2022 38,78476959 euros
30/12/2022 38,7872259 euros
29/12/2022 39,17469783 euros
28/12/2022 38,87276561 euros
27/12/2022 38,89821349 euros
26/12/2022 38,87359585 euros
25/12/2022 38,87605046 euros
24/12/2022 38,8785072 euros
23/12/2022 38,88096383 euros
22/12/2022 38,88388584 euros
21/12/2022 39,01948418 euros
20/12/2022 38,47344795 euros
19/12/2022 38,03154334 euros
18/12/2022 37,92424845 euros
17/12/2022 37,92664964 euros
16/12/2022 37,92904606 euros
15/12/2022 38,08493716 euros
14/12/2022 38,77588428 euros
13/12/2022 38,57595185 euros
12/12/2022 38,24962639 euros
11/12/2022 38,36426006 euros
10/12/2022 38,36668065 euros
09/12/2022 38,36910266 euros
08/12/2022 38,12901105 euros
07/12/2022 38,45311399 euros
06/12/2022 38,66412397 euros
05/12/2022 38,81211146 euros
04/12/2022 38,89504399 euros
03/12/2022 38,89748601 euros
02/12/2022 38,89993122 euros
01/12/2022 39,00335419 euros
30/11/2022 38,88843156 euros
29/11/2022 38,73635808 euros
28/11/2022 38,6143386 euros