Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

12/11/2023 44,837268 euros
11/11/2023 44,83996425 euros
10/11/2023 44,8426644 euros
09/11/2023 45,00118234 euros
08/11/2023 44,40639002 euros
07/11/2023 44,1937047 euros
06/11/2023 44,36970181 euros
05/11/2023 44,5867862 euros
04/11/2023 44,58940594 euros
03/11/2023 44,59201381 euros
02/11/2023 44,46255919 euros
01/11/2023 43,72272304 euros
31/10/2023 43,43844606 euros
30/10/2023 43,4427839 euros
29/10/2023 42,94284499 euros
28/10/2023 42,94543714 euros
27/10/2023 42,9480287 euros
26/10/2023 43,1982023 euros
25/10/2023 43,23228606 euros
24/10/2023 43,11554828 euros
23/10/2023 43,38827656 euros
22/10/2023 43,60776852 euros
21/10/2023 43,61045753 euros
20/10/2023 43,6131449 euros
19/10/2023 44,12967417 euros
18/10/2023 44,36680709 euros
17/10/2023 44,69244055 euros
16/10/2023 44,60799315 euros
15/10/2023 44,34861733 euros
14/10/2023 44,35120851 euros
13/10/2023 44,35381666 euros
12/10/2023 44,81408374 euros
11/10/2023 44,8971464 euros
10/10/2023 44,81418119 euros
09/10/2023 43,84465148 euros
08/10/2023 44,20693493 euros
07/10/2023 44,20952895 euros
06/10/2023 44,21211615 euros
05/10/2023 43,82559509 euros
04/10/2023 43,54827607 euros
03/10/2023 43,92918759 euros
02/10/2023 44,58371268 euros
01/10/2023 45,04242854 euros
30/09/2023 45,04525023 euros
29/09/2023 45,04796547 euros
28/09/2023 45,07636616 euros
27/09/2023 44,41946251 euros
26/09/2023 44,45231172 euros
25/09/2023 44,53774759 euros
24/09/2023 45,01899786 euros