Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA

Fecha

Valor liquidativo

13/04/2024 13,89697704 euros
12/04/2024 13,89740102 euros
11/04/2024 13,87345973 euros
10/04/2024 14,06105298 euros
09/04/2024 14,10433695 euros
08/04/2024 14,265211 euros
07/04/2024 14,20428613 euros
06/04/2024 14,20468656 euros
05/04/2024 14,20508604 euros
04/04/2024 14,41799914 euros
03/04/2024 14,32127579 euros
02/04/2024 14,23576932 euros
01/04/2024 14,34699631 euros
31/03/2024 14,34703791 euros
30/03/2024 14,34748933 euros
29/03/2024 14,34794075 euros
28/03/2024 14,34839195 euros
27/03/2024 14,31659322 euros
26/03/2024 14,15440637 euros
25/03/2024 14,09059214 euros
24/03/2024 14,06412889 euros
23/03/2024 14,06458276 euros
22/03/2024 14,06503728 euros
21/03/2024 14,00397992 euros
20/03/2024 13,87308049 euros
19/03/2024 13,80884396 euros
18/03/2024 13,64955625 euros
17/03/2024 13,63157773 euros
16/03/2024 13,63199123 euros
15/03/2024 13,63240801 euros
14/03/2024 13,46308035 euros
13/03/2024 13,52759647 euros
12/03/2024 13,30309127 euros
11/03/2024 13,21080994 euros
10/03/2024 13,16793884 euros
09/03/2024 13,16834048 euros
08/03/2024 13,16874437 euros
07/03/2024 13,19657271 euros
06/03/2024 13,01487288 euros
05/03/2024 12,88999264 euros
04/03/2024 12,85738637 euros
03/03/2024 12,83724021 euros
02/03/2024 12,83762958 euros
01/03/2024 12,83801893 euros
29/02/2024 12,75843748 euros
28/02/2024 12,79262492 euros
27/02/2024 12,82251966 euros
26/02/2024 12,85746285 euros
25/02/2024 12,82680288 euros
24/02/2024 12,82720026 euros