Fondos liquidativos

Fons: CAIXABANK BOLSA INDICE ESPAÑA, FI CLASE INSTITUCIONAL PLUS

Data

Valor liquidatiu

16/12/2015 7,81926037 euros
15/12/2015 7,81983576 euros
14/12/2015 7,59054802 euros
13/12/2015 7,75382906 euros
12/12/2015 7,75386253 euros
11/12/2015 7,753896 euros
10/12/2015 7,87358806 euros
09/12/2015 7,91811156 euros
08/12/2015 7,91906433 euros
07/12/2015 8,08239987 euros
06/12/2015 8,10904222 euros
05/12/2015 8,10907683 euros
04/12/2015 8,10911145 euros
03/12/2015 8,12154488 euros
02/12/2015 8,31862696 euros
01/12/2015 8,34856327 euros
30/11/2015 8,35489774 euros
29/11/2015 8,29404694 euros
28/11/2015 8,29408232 euros
27/11/2015 8,2941177 euros
26/11/2015 8,31175683 euros
25/11/2015 8,22739912 euros
24/11/2015 8,21194788 euros
23/11/2015 8,26823922 euros
22/11/2015 8,27824982 euros
21/11/2015 8,27828513 euros
20/11/2015 8,27832045 euros
19/11/2015 8,3297742 euros
18/11/2015 8,25543138 euros
17/11/2015 8,308833 euros
16/11/2015 8,11824292 euros
15/11/2015 8,10878885 euros
14/11/2015 8,10882346 euros
13/11/2015 8,10885806 euros
12/11/2015 8,13481362 euros
11/11/2015 8,320667 euros
10/11/2015 8,28834698 euros
09/11/2015 8,27915751 euros
08/11/2015 8,38063816 euros
07/11/2015 8,38067389 euros
06/11/2015 8,38070962 euros
05/11/2015 8,36364856 euros
04/11/2015 8,39587317 euros
03/11/2015 8,38934801 euros
02/11/2015 8,33973809 euros
01/11/2015 8,29218129 euros
31/10/2015 8,29221664 euros
30/10/2015 8,292252 euros
29/10/2015 8,32116227 euros
28/10/2015 8,34311691 euros