Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA

Fecha

Valor liquidativo

19/01/2023 10,72373379 euros
18/01/2023 10,89725588 euros
17/01/2023 10,86497008 euros
16/01/2023 10,84851751 euros
15/01/2023 10,87740009 euros
14/01/2023 10,87777676 euros
13/01/2023 10,87815615 euros
12/01/2023 10,8390796 euros
11/01/2023 10,71974989 euros
10/01/2023 10,72888577 euros
09/01/2023 10,69606562 euros
08/01/2023 10,72088609 euros
07/01/2023 10,72125198 euros
06/01/2023 10,72161789 euros
05/01/2023 10,59104066 euros
04/01/2023 10,55436572 euros
03/01/2023 10,33871024 euros
02/01/2023 10,29695358 euros
01/01/2023 10,12274553 euros
31/12/2022 10,12310566 euros
30/12/2022 10,12346273 euros
29/12/2022 10,22430579 euros
28/12/2022 10,14521389 euros
27/12/2022 10,15157044 euros
26/12/2022 10,14486088 euros
25/12/2022 10,14521655 euros
24/12/2022 10,14557275 euros
23/12/2022 10,145929 euros
22/12/2022 10,14640687 euros
21/12/2022 10,18150406 euros
20/12/2022 10,03874284 euros
19/12/2022 9,92315959 euros
18/12/2022 9,8948864 euros
17/12/2022 9,89523501 euros
16/12/2022 9,89558226 euros
15/12/2022 9,93597492 euros
14/12/2022 10,11595213 euros
13/12/2022 10,06351621 euros
12/12/2022 9,97810574 euros
11/12/2022 10,00772895 euros
10/12/2022 10,00807932 euros
09/12/2022 10,00843007 euros
08/12/2022 9,94552381 euros
07/12/2022 10,02978078 euros
06/12/2022 10,0845356 euros
05/12/2022 10,1228501 euros
04/12/2022 10,1441954 euros
03/12/2022 10,14454741 euros
02/12/2022 10,14489878 euros
01/12/2022 10,17158517 euros