Fondos liquidativos

Fondo: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

09/08/2025 15,36712651 euros
08/08/2025 15,36751021 euros
07/08/2025 15,22846687 euros
06/08/2025 15,07074992 euros
05/08/2025 14,93863016 euros
04/08/2025 14,91686432 euros
03/08/2025 14,65266561 euros
02/08/2025 14,65303011 euros
01/08/2025 14,65339461 euros
31/07/2025 14,93067057 euros
30/07/2025 14,91424726 euros
29/07/2025 14,8798763 euros
28/07/2025 14,75012108 euros
27/07/2025 14,76692115 euros
26/07/2025 14,76729136 euros
25/07/2025 14,7676617 euros
24/07/2025 14,7879997 euros
23/07/2025 14,59309437 euros
22/07/2025 14,56770679 euros
21/07/2025 14,55807438 euros
20/07/2025 14,50636909 euros
19/07/2025 14,50673762 euros
18/07/2025 14,50710617 euros
17/07/2025 14,51352838 euros
16/07/2025 14,40341477 euros
15/07/2025 14,38951364 euros
14/07/2025 14,56406657 euros
13/07/2025 14,53491493 euros
12/07/2025 14,53528481 euros
11/07/2025 14,53565477 euros
10/07/2025 14,67250082 euros
09/07/2025 14,78824664 euros
08/07/2025 14,60903241 euros
07/07/2025 14,60000106 euros
06/07/2025 14,49658632 euros
05/07/2025 14,49695336 euros
04/07/2025 14,4973202 euros
03/07/2025 14,64184781 euros
02/07/2025 14,5014236 euros
01/07/2025 14,43617898 euros
30/06/2025 14,42956004 euros
29/06/2025 14,40427858 euros
28/06/2025 14,40464458 euros
27/06/2025 14,40501069 euros
26/06/2025 14,24240819 euros
25/06/2025 14,23325262 euros
24/06/2025 14,46145037 euros
23/06/2025 14,26259513 euros
22/06/2025 14,27053339 euros
21/06/2025 14,27089716 euros