Fondos liquidativos

Fons: CAIXABANK BOLSA SELECCION EUROPA, FI CLASE PLUS

Data

Valor liquidatiu

09/03/2016 11,54309115 euros
08/03/2016 11,46680296 euros
07/03/2016 11,52578117 euros
06/03/2016 11,60219079 euros
05/03/2016 11,60271577 euros
04/03/2016 11,60324083 euros
03/03/2016 11,57068641 euros
02/03/2016 11,56708264 euros
01/03/2016 11,5060477 euros
29/02/2016 11,30894602 euros
28/02/2016 11,28911347 euros
27/02/2016 11,28962436 euros
26/02/2016 11,29013524 euros
25/02/2016 11,138012 euros
24/02/2016 10,93464225 euros
23/02/2016 11,22890231 euros
22/02/2016 11,28974382 euros
21/02/2016 11,093123 euros
20/02/2016 11,09362502 euros
19/02/2016 11,09412689 euros
18/02/2016 11,2490111 euros
17/02/2016 11,1114535 euros
16/02/2016 10,8995211 euros
15/02/2016 10,93643205 euros
14/02/2016 10,55095073 euros
13/02/2016 10,55142843 euros
12/02/2016 10,55190574 euros
11/02/2016 10,41290857 euros
10/02/2016 10,74315078 euros
09/02/2016 10,53008919 euros
08/02/2016 10,76563074 euros
07/02/2016 11,19035045 euros
06/02/2016 11,19085686 euros
05/02/2016 11,1913634 euros
04/02/2016 11,20967043 euros
03/02/2016 11,34577492 euros
02/02/2016 11,46007389 euros
01/02/2016 11,65549693 euros
31/01/2016 11,62456241 euros
30/01/2016 11,62508841 euros
29/01/2016 11,62561444 euros
28/01/2016 11,50467491 euros
27/01/2016 11,55242846 euros
26/01/2016 11,52152852 euros
25/01/2016 11,52852974 euros
24/01/2016 11,6194259 euros
23/01/2016 11,61995174 euros
22/01/2016 11,62047763 euros
21/01/2016 11,13866115 euros
20/01/2016 11,08374915 euros