Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE PLUS

Fecha

Valor liquidativo

13/04/2024 13,18125669 euros
12/04/2024 13,18177637 euros
11/04/2024 13,15918433 euros
10/04/2024 13,33723725 euros
09/04/2024 13,37841011 euros
08/04/2024 13,53112356 euros
07/04/2024 13,47345317 euros
06/04/2024 13,47395228 euros
05/04/2024 13,47444702 euros
04/04/2024 13,67653016 euros
03/04/2024 13,58490126 euros
02/04/2024 13,50391095 euros
01/04/2024 13,60954031 euros
31/03/2024 13,60970036 euros
30/03/2024 13,61024907 euros
29/03/2024 13,61079781 euros
28/03/2024 13,61134643 euros
27/03/2024 13,58130128 euros
26/03/2024 13,42756345 euros
25/03/2024 13,36714381 euros
24/03/2024 13,34215737 euros
23/03/2024 13,34270607 euros
22/03/2024 13,34325519 euros
21/03/2024 13,28544881 euros
20/03/2024 13,16138161 euros
19/03/2024 13,10055634 euros
18/03/2024 12,94955351 euros
17/03/2024 12,93261149 euros
16/03/2024 12,93311829 euros
15/03/2024 12,93362698 euros
14/03/2024 12,77309182 euros
13/03/2024 12,83441508 euros
12/03/2024 12,62152642 euros
11/03/2024 12,5340871 euros
10/03/2024 12,49352268 euros
09/03/2024 12,49401436 euros
08/03/2024 12,4945079 euros
07/03/2024 12,52102229 euros
06/03/2024 12,34873333 euros
05/03/2024 12,23035288 euros
04/03/2024 12,19952274 euros
03/03/2024 12,18051481 euros
02/03/2024 12,18099134 euros
01/03/2024 12,18146782 euros
29/02/2024 12,10608102 euros
28/02/2024 12,1386282 euros
27/02/2024 12,16710191 euros
26/02/2024 12,20036774 euros
25/02/2024 12,17138193 euros
24/02/2024 12,17186603 euros