Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE PLUS

Fecha

Valor liquidativo

19/01/2023 10,21214403 euros
18/01/2023 10,37748008 euros
17/01/2023 10,34682614 euros
16/01/2023 10,33124989 euros
15/01/2023 10,35884729 euros
14/01/2023 10,35929797 euros
13/01/2023 10,35975132 euros
12/01/2023 10,32262858 euros
11/01/2023 10,2090752 euros
10/01/2023 10,21786609 euros
09/01/2023 10,18669764 euros
08/01/2023 10,21042675 euros
07/01/2023 10,21086587 euros
06/01/2023 10,21130501 euros
05/01/2023 10,08703402 euros
04/01/2023 10,05219341 euros
03/01/2023 9,84688597 euros
02/01/2023 9,80720196 euros
01/01/2023 9,64136537 euros
31/12/2022 9,64179417 euros
30/12/2022 9,64221957 euros
29/12/2022 9,73835559 euros
28/12/2022 9,66311305 euros
27/12/2022 9,66925364 euros
26/12/2022 9,6629489 euros
25/12/2022 9,66337372 euros
24/12/2022 9,66379905 euros
23/12/2022 9,6642247 euros
22/12/2022 9,66476582 euros
21/12/2022 9,69828378 euros
20/12/2022 9,562383 euros
19/12/2022 9,45236833 euros
18/12/2022 9,42552047 euros
17/12/2022 9,42593647 euros
16/12/2022 9,42635012 euros
15/12/2022 9,46491174 euros
14/12/2022 9,63644205 euros
13/12/2022 9,58656909 euros
12/12/2022 9,50529067 euros
11/12/2022 9,53359507 euros
10/12/2022 9,53401374 euros
09/12/2022 9,53443278 euros
08/12/2022 9,47459011 euros
07/12/2022 9,55494208 euros
06/12/2022 9,6071902 euros
05/12/2022 9,64377696 euros
04/12/2022 9,66419814 euros
03/12/2022 9,66461954 euros
02/12/2022 9,66504173 euros
01/12/2022 9,69055158 euros