Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE PLUS

Fecha

Valor liquidativo

10/09/2024 14,13680497 euros
09/09/2024 14,20983337 euros
08/09/2024 14,0828782 euros
07/09/2024 14,08342533 euros
06/09/2024 14,08397271 euros
05/09/2024 14,2138301 euros
04/09/2024 14,11523271 euros
03/09/2024 14,18180863 euros
02/09/2024 14,32141063 euros
01/09/2024 14,33273717 euros
31/08/2024 14,33329509 euros
30/08/2024 14,33385353 euros
29/08/2024 14,27728537 euros
28/08/2024 14,25941581 euros
27/08/2024 14,23567487 euros
26/08/2024 14,17996362 euros
25/08/2024 14,19574855 euros
24/08/2024 14,19630143 euros
23/08/2024 14,19685532 euros
22/08/2024 14,045053 euros
21/08/2024 13,98242532 euros
20/08/2024 13,94414659 euros
19/08/2024 13,95080557 euros
18/08/2024 13,7664559 euros
17/08/2024 13,76699072 euros
16/08/2024 13,76752625 euros
15/08/2024 13,53342917 euros
14/08/2024 13,53395273 euros
13/08/2024 13,48622193 euros
12/08/2024 13,37236809 euros
11/08/2024 13,36656938 euros
10/08/2024 13,36708609 euros
09/08/2024 13,36760366 euros
08/08/2024 13,26793568 euros
07/08/2024 13,32800166 euros
06/08/2024 13,07976056 euros
05/08/2024 13,11678704 euros
04/08/2024 13,44765938 euros
03/08/2024 13,4481767 euros
02/08/2024 13,44869351 euros
01/08/2024 13,63294265 euros
31/07/2024 13,89396766 euros
30/07/2024 14,0590565 euros
29/07/2024 13,96400398 euros
28/07/2024 14,02742523 euros
27/07/2024 14,02796999 euros
26/07/2024 14,02851489 euros
25/07/2024 14,00750379 euros
24/07/2024 14,08159471 euros
23/07/2024 14,06670139 euros