Fondos liquidativos

Fondo: CAIXABANK BOLSA SELECCION EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

06/08/2025 16,60739342 euros
05/08/2025 16,65171994 euros
04/08/2025 16,5919884 euros
03/08/2025 16,45508097 euros
02/08/2025 16,45605614 euros
01/08/2025 16,45703074 euros
31/07/2025 16,83040801 euros
30/07/2025 16,91678913 euros
29/07/2025 16,93603648 euros
28/07/2025 16,8735256 euros
27/07/2025 16,88196771 euros
26/07/2025 16,88296322 euros
25/07/2025 16,88395858 euros
24/07/2025 16,95209898 euros
23/07/2025 16,90472439 euros
22/07/2025 16,7090169 euros
21/07/2025 16,79591631 euros
20/07/2025 16,82681657 euros
19/07/2025 16,82780859 euros
18/07/2025 16,82880057 euros
17/07/2025 16,80899821 euros
16/07/2025 16,70427304 euros
15/07/2025 16,78828145 euros
14/07/2025 16,80262824 euros
13/07/2025 16,84519408 euros
12/07/2025 16,84618635 euros
11/07/2025 16,84717791 euros
10/07/2025 17,02078064 euros
09/07/2025 16,94782942 euros
08/07/2025 16,80034884 euros
07/07/2025 16,75492855 euros
06/07/2025 16,68150699 euros
05/07/2025 16,68249204 euros
04/07/2025 16,68347717 euros
03/07/2025 16,75328025 euros