Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION ESPAÑA, FI CLASE EXTRA

Fecha

Valor liquidativo

10/09/2024 14,92417642 euros
09/09/2024 15,00113951 euros
08/09/2024 14,86698292 euros
07/09/2024 14,86742889 euros
06/09/2024 14,86787535 euros
05/09/2024 15,00482767 euros
04/09/2024 14,90061034 euros
03/09/2024 14,97075785 euros
02/09/2024 15,11799199 euros
01/09/2024 15,12981457 euros
31/08/2024 15,13026957 euros
30/08/2024 15,13072508 euros
29/08/2024 15,07087867 euros
28/08/2024 15,05188279 euros
27/08/2024 15,02668884 euros
26/08/2024 14,96774943 euros
25/08/2024 14,98427864 euros
24/08/2024 14,98472957 euros
23/08/2024 14,98518124 euros
22/08/2024 14,82481835 euros
21/08/2024 14,75858305 euros
20/08/2024 14,71804936 euros
19/08/2024 14,72494754 euros
18/08/2024 14,5302395 euros
17/08/2024 14,53067534 euros
16/08/2024 14,53111203 euros
15/08/2024 14,28390481 euros
14/08/2024 14,28433094 euros
13/08/2024 14,23382754 euros
12/08/2024 14,11353729 euros
11/08/2024 14,10729229 euros
10/08/2024 14,10771274 euros
09/08/2024 14,10813407 euros
08/08/2024 14,00282057 euros
07/08/2024 14,06608895 euros
06/08/2024 13,80397868 euros
05/08/2024 13,84293251 euros
04/08/2024 14,19199629 euros
03/08/2024 14,19241661 euros
02/08/2024 14,19283626 euros
01/08/2024 14,38715222 euros
31/07/2024 14,66256196 euros
30/07/2024 14,83665193 euros
29/07/2024 14,73621166 euros
28/07/2024 14,80300904 euros
27/07/2024 14,80345286 euros
26/07/2024 14,80389681 euros
25/07/2024 14,78159351 euros
24/07/2024 14,85964737 euros
23/07/2024 14,84379959 euros