Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION EUROPA, FI CLASE PLUS

Fecha

Valor liquidativo

07/05/2024 17,39392791 euros
06/05/2024 17,2127687 euros
05/05/2024 17,13500144 euros
04/05/2024 17,13564404 euros
03/05/2024 17,13628612 euros
02/05/2024 17,04138793 euros
01/05/2024 17,11959525 euros
30/04/2024 17,12020906 euros
29/04/2024 17,21158969 euros
28/04/2024 17,18428256 euros
27/04/2024 17,18494701 euros
26/04/2024 17,18561179 euros
25/04/2024 16,99655413 euros
24/04/2024 17,16792299 euros
23/04/2024 17,1567261 euros
22/04/2024 16,96570839 euros
21/04/2024 16,85519202 euros
20/04/2024 16,85584512 euros
19/04/2024 16,85649824 euros
18/04/2024 16,91205313 euros
17/04/2024 16,92002324 euros
16/04/2024 16,88559218 euros
15/04/2024 17,16643453 euros
14/04/2024 17,13051597 euros
13/04/2024 17,13118266 euros
12/04/2024 17,13184861 euros
11/04/2024 17,11833072 euros
10/04/2024 17,16833209 euros
09/04/2024 17,18123656 euros
08/04/2024 17,25731173 euros
07/04/2024 17,16952264 euros
06/04/2024 17,17018716 euros
05/04/2024 17,17085258 euros
04/04/2024 17,3218938 euros
03/04/2024 17,27250115 euros
02/04/2024 17,25587046 euros
01/04/2024 17,38857471 euros
31/03/2024 17,38919278 euros
30/03/2024 17,38986428 euros
29/03/2024 17,39053582 euros
28/03/2024 17,39115335 euros
27/03/2024 17,34650612 euros
26/03/2024 17,32070568 euros
25/03/2024 17,27438135 euros
24/03/2024 17,28282072 euros
23/03/2024 17,28348605 euros
22/03/2024 17,28415091 euros
21/03/2024 17,28077234 euros
20/03/2024 17,13744306 euros
19/03/2024 17,10359717 euros