Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE PLUS

Fecha

Valor liquidativo

27/06/2024 13,62256211 euros
26/06/2024 13,70622747 euros
25/06/2024 13,84390342 euros
24/06/2024 13,90522859 euros
23/06/2024 13,74394079 euros
22/06/2024 13,7444817 euros
21/06/2024 13,74502263 euros
20/06/2024 13,92035697 euros
19/06/2024 13,79927209 euros
18/06/2024 13,80148007 euros
17/06/2024 13,6257232 euros
16/06/2024 13,67782691 euros
15/06/2024 13,6783519 euros
14/06/2024 13,67887638 euros
13/06/2024 13,76825399 euros
12/06/2024 13,98001882 euros
11/06/2024 13,88597502 euros
10/06/2024 14,09327841 euros
09/06/2024 14,13427148 euros
08/06/2024 14,13481311 euros
07/06/2024 14,1353572 euros
06/06/2024 14,19382258 euros
05/06/2024 14,10031453 euros
04/06/2024 14,02506079 euros
03/06/2024 14,17522879 euros
02/06/2024 14,08131423 euros
01/06/2024 14,08185727 euros
31/05/2024 14,08239964 euros
30/05/2024 14,10217672 euros
29/05/2024 13,8654518 euros
28/05/2024 14,02697055 euros
27/05/2024 14,08454428 euros
26/05/2024 13,99149379 euros
25/05/2024 13,99204046 euros
24/05/2024 13,99258681 euros
23/05/2024 14,06072804 euros
22/05/2024 14,08485539 euros
21/05/2024 14,06232862 euros
20/05/2024 14,07757256 euros
19/05/2024 14,06096558 euros
18/05/2024 14,06150519 euros
17/05/2024 14,06204583 euros
16/05/2024 14,0024657 euros
15/05/2024 14,09666111 euros
14/05/2024 13,94589407 euros
13/05/2024 13,84088301 euros
12/05/2024 13,79068941 euros
11/05/2024 13,79118887 euros
10/05/2024 13,79169027 euros
09/05/2024 13,7506929 euros