Fondos liquidativos

Fons: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE INSTITUCIONAL PLUS

Data

Valor liquidatiu

07/09/2015 7,83126811 euros
06/09/2015 7,84519518 euros
05/09/2015 7,84522898 euros
04/09/2015 7,84526277 euros
03/09/2015 8,01993501 euros
02/09/2015 7,93841577 euros
01/09/2015 7,97939163 euros
31/08/2015 8,19071048 euros
30/08/2015 8,26435718 euros
29/08/2015 8,26439238 euros
28/08/2015 8,26442758 euros
27/08/2015 8,21706383 euros
26/08/2015 7,97564362 euros
25/08/2015 8,08009363 euros
24/08/2015 7,79180847 euros
23/08/2015 8,20261175 euros
22/08/2015 8,20264669 euros
21/08/2015 8,20268164 euros
20/08/2015 8,45119514 euros
19/08/2015 8,60602174 euros
18/08/2015 8,69675396 euros
17/08/2015 8,69892899 euros
16/08/2015 8,68241813 euros
15/08/2015 8,68245508 euros
14/08/2015 8,68249202 euros
13/08/2015 8,73564746 euros
12/08/2015 8,68333012 euros
11/08/2015 8,8978724 euros
10/08/2015 9,02387502 euros
09/08/2015 8,91851782 euros
08/08/2015 8,91855575 euros
07/08/2015 8,91859368 euros
06/08/2015 8,97818343 euros
05/08/2015 8,99877616 euros
04/08/2015 8,89640334 euros
03/08/2015 8,98800309 euros
02/08/2015 8,90925388 euros
01/08/2015 8,90929185 euros
31/07/2015 8,90932981 euros
30/07/2015 8,89914242 euros
29/07/2015 8,98695321 euros
28/07/2015 8,96353858 euros
27/07/2015 8,8798556 euros
26/07/2015 9,00805042 euros
25/07/2015 9,00808867 euros
24/07/2015 9,00812692 euros
23/07/2015 9,11262753 euros
22/07/2015 9,14577382 euros
21/07/2015 9,12530402 euros
20/07/2015 9,20343268 euros