Fondos liquidativos

Fondo: CAIXABANK BOLSA GESTION EUROPA, FI CLASE ESTANDAR

Fecha

Valor liquidativo

18/06/2026 10,08271059 euros
17/06/2026 10,10269008 euros
16/06/2026 10,00566868 euros
15/06/2026 9,9771335 euros
14/06/2026 9,93722142 euros
13/06/2026 9,93785016 euros
12/06/2026 9,93847891 euros
11/06/2026 9,7389473 euros
10/06/2026 9,63545366 euros
09/06/2026 9,66147455 euros
08/06/2026 9,70748508 euros
07/06/2026 9,69645454 euros
06/06/2026 9,69706251 euros
05/06/2026 9,69767173 euros
04/06/2026 9,74200594 euros
03/06/2026 9,70257884 euros
02/06/2026 9,76679917 euros
01/06/2026 9,69656279 euros
31/05/2026 9,76607486 euros
30/05/2026 9,76668705 euros
29/05/2026 9,76729888 euros
28/05/2026 9,75490661 euros
27/05/2026 9,78840933 euros
26/05/2026 9,77728014 euros
25/05/2026 9,83872733 euros
24/05/2026 9,7194395 euros
23/05/2026 9,72004427 euros
22/05/2026 9,72064939 euros
21/05/2026 9,63501598 euros
20/05/2026 9,63996313 euros
19/05/2026 9,46116267 euros
18/05/2026 9,4440511 euros
17/05/2026 9,3992333 euros
16/05/2026 9,39981616 euros
15/05/2026 9,40039897 euros
14/05/2026 9,5788245 euros
13/05/2026 9,49405155 euros
12/05/2026 9,423955 euros
11/05/2026 9,54657181 euros
10/05/2026 9,54115654 euros
09/05/2026 9,54175938 euros
08/05/2026 9,54236333 euros
07/05/2026 9,61262855 euros
06/05/2026 9,7259301 euros
05/05/2026 9,47784589 euros
04/05/2026 9,35891485 euros
03/05/2026 9,4915265 euros
02/05/2026 9,49212475 euros
01/05/2026 9,49272309 euros
30/04/2026 9,4933215 euros