Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

15/06/2023 43,89524128 euros
14/06/2023 43,97936997 euros
13/06/2023 43,48164666 euros
12/06/2023 43,50618877 euros
11/06/2023 43,39746252 euros
10/06/2023 43,40012183 euros
09/06/2023 43,40278151 euros
08/06/2023 43,61127896 euros
07/06/2023 43,6102258 euros
06/06/2023 43,33994739 euros
05/06/2023 43,24481464 euros
04/06/2023 43,41843777 euros
03/06/2023 43,42110901 euros
02/06/2023 43,4237807 euros
01/06/2023 42,5946255 euros
31/05/2023 41,98487319 euros
30/05/2023 42,63197896 euros
29/05/2023 42,77500655 euros
28/05/2023 42,87434469 euros
27/05/2023 42,87703178 euros
26/05/2023 42,87972069 euros
25/05/2023 42,55003084 euros
24/05/2023 42,7206 euros
23/05/2023 43,22879149 euros
22/05/2023 43,32369479 euros
21/05/2023 43,06412173 euros
20/05/2023 43,06671556 euros
19/05/2023 43,0693119 euros
18/05/2023 42,90899759 euros
17/05/2023 42,85662189 euros
16/05/2023 42,70061769 euros
15/05/2023 42,78669031 euros
14/05/2023 42,97409711 euros
13/05/2023 42,97671734 euros
12/05/2023 42,97932088 euros
11/05/2023 42,69594723 euros
10/05/2023 42,62080919 euros
09/05/2023 42,7329383 euros
08/05/2023 43,00444408 euros
07/05/2023 42,64044431 euros
06/05/2023 42,64305022 euros
05/05/2023 42,64565601 euros
04/05/2023 42,19148113 euros
03/05/2023 42,37599835 euros
02/05/2023 42,45393506 euros
01/05/2023 43,30302184 euros
30/04/2023 43,30613273 euros
29/04/2023 43,30881121 euros
28/04/2023 43,31148815 euros
27/04/2023 43,89313856 euros