Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE INSTITUCIONAL PLUS

Fecha

Valor liquidativo

30/11/2022 8,63189959 euros
29/11/2022 8,58965823 euros
28/11/2022 8,59107793 euros
27/11/2022 8,68555955 euros
26/11/2022 8,68557211 euros
25/11/2022 8,68558468 euros
24/11/2022 8,65604826 euros
23/11/2022 8,59713065 euros
22/11/2022 8,59056056 euros
21/11/2022 8,44930191 euros
20/11/2022 8,38595721 euros
19/11/2022 8,38597319 euros
18/11/2022 8,38598916 euros
17/11/2022 8,29450228 euros
16/11/2022 8,35873415 euros
15/11/2022 8,44435039 euros
14/11/2022 8,42366839 euros
13/11/2022 8,35301365 euros
12/11/2022 8,35304214 euros
11/11/2022 8,35307063 euros
10/11/2022 8,39018548 euros
09/11/2022 8,29392859 euros
08/11/2022 8,25059685 euros
07/11/2022 8,21216367 euros
06/11/2022 8,19385311 euros
05/11/2022 8,19388104 euros
04/11/2022 8,19390897 euros
03/11/2022 8,11588432 euros
02/11/2022 8,21308595 euros
01/11/2022 8,24364749 euros
31/10/2022 8,1997484 euros
30/10/2022 8,13322296 euros
29/10/2022 8,13325077 euros
28/10/2022 8,13327857 euros
27/10/2022 8,13976637 euros
26/10/2022 8,08782819 euros
25/10/2022 8,00994954 euros
24/10/2022 7,8930679 euros
23/10/2022 7,75278056 euros
22/10/2022 7,75280853 euros
21/10/2022 7,75283651 euros
20/10/2022 7,85494448 euros
19/10/2022 7,79337612 euros
18/10/2022 7,82187093 euros
17/10/2022 7,7653598 euros
16/10/2022 7,58715115 euros
15/10/2022 7,58717853 euros
14/10/2022 7,58720591 euros
13/10/2022 7,55207143 euros
12/10/2022 7,46279766 euros